UNITED
STATES
|
SECURITIES
AND EXCHANGE COMMISSION
|
WASHINGTON,
D.C. 20549
|
FORM
11-K
|
[X]
|
ANNUAL
REPORT PURSUANT TO SECTION 15(d)
|
OF
THE SECURITIES EXCHANGE ACT OF 1934
|
For
the fiscal year ended December 31, 2006
|
OR
|
[ ]
|
TRANSITION
REPORT PURSUANT TO SECTION 15(d)
|
OF
THE SECURITIES EXCHANGE ACT OF 1934
|
For
the transition period from
to
|
AMERICAN
ELECTRIC POWER SYSTEM
|
RETIREMENT
SAVINGS PLAN
|
(Full
title of the plan)
|
AMERICAN
ELECTRIC POWER COMPANY, INC.
|
1
Riverside Plaza, Columbus, Ohio 43215
|
(Name
of issuer of the securities held
|
pursuant
to the plan and the address
|
of
its principal executive office)
|
SIGNATURES
|
|
REPORT
OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
|
|
FINANCIAL
STATEMENTS:
|
|
Statements
of Net Assets Available for Benefits as of December 31, 2006 and
2005
|
|
Statements
of Changes in Net Assets Available for Benefits for the Years Ended
December 31, 2006 and
2005
|
|
Notes
to Financial Statements as of December 31, 2006 and 2005, and for
the
Years then Ended
|
|
SUPPLEMENTAL
SCHEDULE:
|
|
Schedule
of Assets (Held at End of Year) as of December 31, 2006
|
|
EXHIBITS:
|
|
Exhibit
Index
|
|
Consent
of Independent Registered Public Accounting Firm
|
|
By: /s/ Stephan T. Haynes | |
Stephan T. Haynes, Secretary |
Date: July 12, 2007 |
2006
|
2005
|
|||||||
ASSETS
|
||||||||
Investments: | ||||||||
Participant
– directed investments (at fair value)
|
$ |
2,895,323,884
|
$ |
2,781,045,544
|
||||
Participant
Loans
|
55,239,294
|
55,014,826
|
||||||
Total
Investments
|
$ |
2,950,563,178
|
$ |
2,836,060,370
|
||||
NET
ASSETS AVAILABLE FOR BENEFITS AT FAIR VALUE
|
$ |
2,950,563,178
|
$ |
2,836,060,370
|
2006
|
2005
|
|||||||
NET
INVESTMENT INCOME
|
||||||||
Interest
|
$ |
44,815,428
|
$ |
37,173,823
|
||||
Dividends
|
29,661,277
|
59,184,701
|
||||||
Net
Appreciation in Fair Value of Investments
|
216,080,147
|
87,773,142
|
||||||
TOTAL
|
290,556,852
|
184,131,666
|
||||||
CONTRIBUTIONS
|
||||||||
Participants |
145,140,492
|
131,405,750
|
||||||
Employer |
60,107,657
|
55,007,584
|
||||||
TOTAL
|
205,248,149
|
186,413,334
|
||||||
Distributions
To Participants
|
(377,061,437 | ) | (242,978,237 | ) | ||||
ADMINISTRATIVE
AND MANAGEMENT FEES
|
||||||||
Professional Fees | (480,436 | ) | (201,733 | ) | ||||
Investment Advisory and Management Fees | (3,501,192 | ) | (1,896,276 | ) | ||||
Other Fees | (259,128 | ) | (58,343 | ) | ||||
TOTAL
|
(4,240,756 | ) | (2,156,352 | ) | ||||
INCREASE
IN NET ASSETS
|
114,502,808
|
125,410,411
|
||||||
NET
ASSETS AVAILABLE FOR BENEFITS
BEGINNING OF YEAR
|
2,836,060,370
|
2,710,649,959
|
||||||
NET
ASSETS AVAILABLE FOR BENEFITS
END OF YEAR
|
$ |
2,950,563,178
|
$ |
2,836,060,370
|
AMERICAN
ELECTRIC POWER SYSTEM RETIREMENT
SAVINGS PLAN
|
|
NOTES
TO FINANCIAL STATEMENTS FOR THE YEARS ENDED DECEMBER 31, 2006 AND
2005
|
|
The
Plan utilizes various investment instruments, including common stock,
bonds, commingled funds and investment contracts. Investment
securities, in general, are exposed to various risks, such as interest
rate, credit, and overall market volatility. Due to the level
of risk associated with certain investment securities, it is reasonably
possible that changes in the values of investment securities will
occur in
the near term and that such changes could materially affect the amounts
reported in the financial
statements.
|
FAIR
VALUE
|
||||||||
2006
|
2005
|
|||||||
American
Electric Power Company, Inc. Common Stock
|
$ |
401,083,727
|
$ |
517,452,122
|
||||
Fidelity
Blue Chip Growth Fund
|
$ |
-
|
$ |
245,710,255
|
||||
Fidelity
US Equity Index Commingled Pool
|
$ |
-
|
$ |
211,263,445
|
||||
Morgan
Guaranty Act Contract
|
$ |
-
|
$ |
206,692,392
|
||||
Bank
of America Contract
|
$ |
-
|
$ |
206,691,132
|
||||
State
Street Bank & Trust Company Contract
|
$ |
-
|
$ |
206,691,243
|
||||
Rabobank
Nederland Contract
|
$ |
-
|
$ |
206,684,414
|
||||
Fidelity
Low-Priced Stock Fund
|
$ |
-
|
$ |
152,202,523
|
||||
Intermediate
Bond Fund - JPMorgan Chase Bank
|
$ |
828,681,084
|
$ |
-
|
||||
EB
Daily Liquidity Aggregate Bond Index Fund
|
$ |
185,242,997
|
$ |
-
|
||||
EB
Daily Liquidity Stock Index Fund
|
$ |
339,905,703
|
$ |
-
|
Year
Ended
December
31,
|
||||||||
2006
|
2005
|
|||||||
Investment
at Fair Value:
|
||||||||
American
Electric Power Company, Inc. – Common
Stock
|
$ |
50,371,670
|
$ |
39,600,019
|
||||
Investments
at Estimated Fair Value:
|
||||||||
Securities,
Mutual Funds and Group Annuity, Bank
Investment and Other Fixed Income
Contracts
|
$ |
165,708,477
|
$ |
48,173,123
|
||||
Total
Net Appreciation
|
$ |
216,080,147
|
$ |
87,773,142
|
AMERICAN
ELECTRIC POWER SYSTEM
|
RETIREMENT
SAVINGS PLAN
|
SUPPLEMENTAL
SCHEDULE OF ASSETS HELD AS OF DECEMBER 31,
2006
|
Identity
of Issuer, Borrower, Lessor or Similar Party
|
Number
of
SHARES/UNITS
|
FAIR
VALUE
|
||||||
INVESTMENT
CONTRACTS:
|
||||||||
Stable
Value Wrap
Bank
of America
variable
annual yield (5.5% at
December
31, 2006) with an
indeterminate
maturity date
|
-
|
$ |
2,490,315
|
|||||
Stable
Value Wrap
UBS
variable
annual yield (5.5% at
December
31, 2006) with an
indeterminate
maturity date
|
-
|
2,490,315
|
||||||
Stable
Value Wrap
IXIS
variable
annual yield (5.5% at
December
31, 2006) with an
indeterminate
maturity date
|
-
|
2,490,315
|
||||||
Stable
Value Wrap
State
Street Bank
variable
annual yield (5.5% at
December
31, 2006) with an
indeterminate
maturity date
|
-
|
2,490,315
|
||||||
Subtotal
|
$ |
9,961,260
|
||||||
Intermediate
Bond Fund-
JPMorgan
Chase Bank
|
74,271,679
|
$ |
828,681,084
|
|||||
U.S.
Treasury Notes
(3.625%,
due at December 30, 2007)
|
844,289
|
|||||||
JPMorgan
Chase Bank
Liquidity
Fund
|
8,422,864
|
8,422,864
|
||||||
Cash
|
89,236
|
|||||||
TOTAL
– INVESTMENT CONTRACTS
|
$ |
847,998,733
|
AMERICAN
ELECTRIC POWER SYSTEM
|
RETIREMENT
SAVINGS PLAN
|
|
SUPPLEMENTAL
SCHEDULE OF ASSETS HELD AS OF DECEMBER 31, 2006
(continued)
|
Identity
of Issuer, Borrower, Lessor or Similar Party
|
Number
of
SHARES/UNITS
|
FAIR
VALUE
|
|||||||
Cash
Equivalents
|
|||||||||
(VAN
2) JPMORGAN DOMESTIC LIQUIDITY
|
27,197,450
|
Units
|
$ |
27,319,673
|
|||||
CASH
ACCOUNT
|
3,942,739
|
Units
|
3,979,425
|
||||||
CASH
– COMMINGLED FUNDS
|
1,030,880
|
Units
|
1,030,879
|
||||||
JP
MORGAN LIQUID ASSETS MONEY MARKET FUND
|
3,279,382
|
Units
|
3,279,382
|
||||||
UNITED
STATES OF AMERICA
|
(1,288,474 | ) |
Units
|
(1,288,474 | ) | ||||
Total
Cash Equivalents
|
$ |
34,320,885
|
|||||||
Common/Collective
Trusts
|
|||||||||
ALLIANCE
BERNSTEIN INT’L STYLE BLEND
|
9,668,298
|
Units
|
124,915,006
|
||||||
EB
DAILY LIQUIDITY AGGREGATE BOND INDEX FUND
|
1,225,338
|
Units
|
185,242,997
|
||||||
EB
DAILY LIQUIDITY STOCK INDEX FUND
|
1,080,665
|
Units
|
339,905,703
|
||||||
INCOME
- EB DAILY LIQUIDITY INTERNATIONAL STOCK INDEX FUND
|
829,594
|
Units
|
94,600,971
|
||||||
INCOME
- EB DAILY LIQUIDITY SMALL CAP STOCK INDEX FUND
|
549,920
|
Units
|
59,753,587
|
||||||
JPMCB
EMERGING MARKETS
|
268,818
|
Units
|
10,365,633
|
||||||
JPMCB
LIQUIDITY FUND
|
5,677,262
|
Units
|
5,677,263
|
||||||
JPMCB
STRATEGIC PROPERTY FUND
|
28,553
|
Units
|
45,850,165
|
||||||
JPMCB
US REAL ESTATE SECURITIES FUND
|
644,284
|
Units
|
26,106,375
|
||||||
Total
Common/Collective Trusts
|
$ |
892,417,700
|
|||||||
Derivatives
|
|||||||||
P/CALL
EURO DOLLAR FUT OPT 94.750 DUE 19/MAR/2007
|
19
|
Units
|
1,425
|
||||||
P/CALL
EURO DOLLAR OPT 94.000DUE 18/JUN/2007
|
10
|
Units
|
19,250
|
||||||
P/CALL
EURO DOLLAR OPT 94.000DUE 19/MAR/2007
|
8
|
Units
|
13,600
|
||||||
P/CALL
EURO DOLLAR OPT 95.000DUE 17/SEP/2007
|
1
|
Units
|
463
|
||||||
P/CALL
EURO DOLLAR OPTION 95.000DUE 17/SEP/2007
|
5
|
Units
|
2,313
|
||||||
P/CALL
US TRAS NTS 5 YERS 102.000DUE 23/FEB/2007
|
3
|
Units
|
9,188
|
||||||
P/CALL
USTN 5 YR FUTURE 102.000DUE 23/FEB/2007
|
2
|
Units
|
6,125
|
||||||
P/CALL
USTN 5 YR FUTURE 102.500DUE 23/FEB/2007
|
17
|
Units
|
43,563
|
||||||
P/PUT
EURO DOLLAR FUT OPT 93.000DUE 19/MAR/2007
|
15
|
Units
|
94
|
||||||
P/PUT
EURO DOLLAR FUT OPT 95.500DUE 19/MAR/2007
|
4
|
Units
|
8,200
|
||||||
W/CALL
EURO DOLLAR FUT OPT 95.130DUE 19/MAR/2007
|
(1 | ) |
Units
|
(13 | ) | ||||
W/CALL
US TREASURY NOTE 10 108.000DUE 23/FEB/2007
|
(1 | ) |
Units
|
(469 | ) | ||||
W/CALL
US TREASURY NOTE 10 109.000DUE 23/FEB/2007
|
(20 | ) |
Units
|
(4,063 | ) | ||||
W/CALL
US TREASURY NOTE 10 110.000DUE 23/FEB/2007
|
(57 | ) |
Units
|
(4,453 | ) | ||||
W/CALL
US TREASURY NOTE 10 111.000DU 23/FEB/2007
|
(4 | ) |
Units
|
(125 | ) | ||||
W/CALL
USA TREAS BDS 114.000DUE 23/FEB/2007
|
(4 | ) |
Units
|
(1,125 | ) | ||||
W/CALL
USA TREAS BDS 115.000DUE 23/FEB/2007
|
(9 | ) |
Units
|
(1,406 | ) | ||||
W/CALL
USA TREAS BDS 116.000DUE 23/FEB/2007
|
(4 | ) |
Units
|
(313 | ) | ||||
W/CALL
USA TREAS BDS OPT 114.000DUE 23/FEB/2007
|
(6 | ) |
Units
|
(1,688 | ) | ||||
W/CALL
USA TREAS BDS OPT 115.000DUE 23/FEB/2007
|
(1 | ) |
Units
|
(156 | ) | ||||
W/PUT
EURO DOLLAR FUT OPT 94.625DUE 19/MAR/2007
|
(10 | ) |
Units
|
(500 | ) | ||||
W/PUT
US TREASURY NOTE 10 107.000DUE 23/FEB/2007
|
(2 | ) |
Units
|
(969 | ) | ||||
W/PUT
US TREASURY NOTE 10 108.000DUE 23/FEB/2007
|
(10 | ) |
Units
|
(10,000 | ) | ||||
W/PUT
USA TREAS BDS 107.000DUE 23/FEB/2007
|
(1 | ) |
Units
|
(63 | ) | ||||
W/PUT
USA TREAS BDS 109.000DUE 23/FEB/2007
|
(14 | ) |
Units
|
(3,719 | ) | ||||
W/PUT
USA TREAS BDS 111.000DUE 23/FEB/2007
|
(2 | ) |
Units
|
(1,750 | ) | ||||
W/PUT
USA TREAS BDS 112.000DUE 23/FEB/2007
|
(1 | ) |
Units
|
(1,391 | ) | ||||
W/PUT
USA TREAS BDS 113.000DUE 23/FEB/2007
|
(2 | ) |
Units
|
(4,125 | ) | ||||
W/PUT
USA TREAS BDS 113.000DUE 23/FEB/2007
|
(7 | ) |
Units
|
(14,438 | ) | ||||
W/PUT
USA TREAS NTS FUT 10 104.000DUE 23/FEB/2007
|
(2 | ) |
Units
|
(63 | ) | ||||
W/PUT
USA TREAS NTS FUT 10 106.000DUE 23/FEB/2007
|
(18 | ) |
Units
|
(3,656 | ) | ||||
Total
Derivatives
|
$ |
49,736
|
|||||||
Employer
Stock
|
|||||||||
AMERICAN
ELECTRIC POWER COMPANY, INC. COMMON STOCK $6.50 PAR
VALUE
|
9,420,072
|
Units
|
401,083,727
|
||||||
Total
Employer Stock
|
$ |
401,083,727
|
|||||||
Corporate
Stocks
|
|||||||||
3M
CO COM STK USD0.01
|
11,800
|
Units
|
919,574
|
||||||
4
KIDS ENTERTAINMENT INC COM STK USD0.01
|
7,300
|
Units
|
133,006
|
||||||
ABBOTT
LABS COM NPV
|
69,500
|
Units
|
3,385,345
|
||||||
ABERCROMBIE
& FITCH CO CLASS'A'COM STK USD0.01
|
41,700
|
Units
|
2,903,571
|
||||||
ACCENTURE
LTD BERM CLS'A'COM USD0.0000225
|
24,700
|
Units
|
912,171
|
||||||
ACCO
BRANDS CORP COM STK USD0.01
|
25,700
|
Units
|
680,279
|
||||||
ACE
LTD COM STK NPV
|
31,900
|
Units
|
1,940,158
|
||||||
ACUITY
BRANDS INC COM STK USD0.01
|
14,000
|
Units
|
728,560
|
||||||
ADAPTEC
INC COM STK USD0.001
|
146,800
|
Units
|
684,088
|
||||||
ADESA
INC COM STK USD0.01
|
39,500
|
Units
|
1,096,125
|
||||||
ADOBE
SYSTEMS INC COM STK USD0.0001
|
143,300
|
Units
|
5,892,496
|
||||||
ADVANCE
AMER CASH ADVANCE CTRS INC COM USD0.01
|
6,700
|
Units
|
98,155
|
||||||
ADVANCE
AUTO PARTS INC COM STK USD0.0001
|
11,700
|
Units
|
416,754
|
||||||
ADVANTA
CORP CLASS'B'NON VTG USD0.01
|
8,900
|
Units
|
388,307
|
||||||
AETNA
INC NEW COM STK USD0.001
|
32,300
|
Units
|
1,394,714
|
||||||
AFC
ENTERPRISES INC COM STK USD0.001
|
3,000
|
Units
|
53,010
|
||||||
AFFILIATED
MANAGERS GROUP INC COM STK USD0.01
|
26,600
|
Units
|
2,796,458
|
||||||
AFFYMETRIX
INC COM STK USD0.01
|
36,100
|
Units
|
832,466
|
||||||
AGILENT
TECHNOLOGIES INC COM STK USD0.01
|
56,600
|
Units
|
1,972,510
|
||||||
AIR
PRODUCTS & CHEMICALS INC COM STK USD1
|
5,700
|
Units
|
402,534
|
||||||
AKAMAI
TECHNOLOGIES COM STK USD0.01
|
8,900
|
Units
|
472,768
|
||||||
ALABAMA
NATIONAL BANCORPORATION COM ST USD1
|
1,100
|
Units
|
76,016
|
||||||
ALCON
INC CHF0.20
|
37,400
|
Units
|
4,180,198
|
||||||
ALEXANDRIA
REAL ESTATE EQUITIES COM STK USD0.01
|
3,000
|
Units
|
303,420
|
||||||
ALLIANCE
DATA SYSTEM COM STK USD0.01
|
46,000
|
Units
|
2,873,620
|
||||||
ALLIANCE
IMAGING INC COM STK USD0.01
|
10,305
|
Units
|
68,528
|
||||||
ALLIANT
TECHSYSTEMS INC COM STK USD0.01
|
3,400
|
Units
|
265,846
|
||||||
ALLIED
WASTE INDUSTRIES INC COM STK USD0.01
|
38,200
|
Units
|
469,478
|
||||||
ALLSTATE
CORP COM USD0.01
|
29,600
|
Units
|
1,936,566
|
||||||
ALLTEL
CORP COM STK USD1
|
25,900
|
Units
|
1,569,670
|
||||||
ALPHARMA
INC CLASS'A'COM STK USD0.20
|
17,000
|
Units
|
409,700
|
||||||
AMBAC
FINANCIAL GROUP INC COM STK USD0.01
|
26,400
|
Units
|
2,351,448
|
||||||
AMDOCS
ORD GBP0.01
|
24,700
|
Units
|
957,125
|
||||||
AMEDISYS
INC COM STK USD0.001
|
51,134
|
Units
|
1,680,775
|
||||||
AMER
INTL GRP COM USD2.50
|
87,300
|
Units
|
6,255,918
|
||||||
AMERICAN
EAGLE OUTFITTER COM STK USD0.01
|
20,700
|
Units
|
647,600
|
||||||
AMERICAN
EQUITY INVT LIFE HLDG CO COM STK USD1
|
15,900
|
Units
|
207,177
|
||||||
AMERICAN
EXPRESS CO COM USD0.20
|
48,200
|
Units
|
2,924,294
|
||||||
AMERICAN
POWER CONVERSION COM STK USD0.01
|
30,500
|
Units
|
932,995
|
||||||
AMERISOURCEBERGEN
CORP COM STK NPV
|
28,000
|
Units
|
1,258,880
|
||||||
AMERISTAR
CASINOS INC COM STK USD0.01
|
3,700
|
Units
|
113,738
|
||||||
AMGEN
INC COM USD0.0001
|
28,000
|
Units
|
1,912,680
|
||||||
AMPHENOL
CORP CLASS'A'COM STK USD0.001
|
43,700
|
Units
|
2,714,162
|
||||||
ANDREW
CORP COM STK USD0.01
|
115,900
|
Units
|
1,185,657
|
||||||
ANHEUSER-BUSCH
COS COM USD1
|
28,500
|
Units
|
1,402,200
|
||||||
APARTMENT
INV&MGMT COM USD0.01 CL'A'
|
15,100
|
Units
|
854,962
|
||||||
APOGEE
ENTERPRISES INC COM STK USD0.33 1/3
|
7,700
|
Units
|
148,687
|
||||||
APOLLO
INVESTMENT CORP COM STK USD0.001
|
27,500
|
Units
|
616,000
|
||||||
APPLE
INC COM STK NPV
|
58,800
|
Units
|
4,988,592
|
||||||
APTARGROUP
INC COM STK USD0.01
|
34,200
|
Units
|
2,019,168
|
||||||
ARES
CAPITAL CORP COM STK USD0.001
|
22,000
|
Units
|
420,420
|
||||||
ARROW
ELECTRONICS INC COM STK USD1
|
55,000
|
Units
|
1,735,250
|
||||||
ASBURY
AUTOMOTIVE GROUP INC COM STK USD0.01
|
20,400
|
Units
|
480,624
|
||||||
ASHFORD
HOSPITALITY TRUST INC COM STK USD0.01
|
6,600
|
Units
|
83,490
|
||||||
ASHLAND
INC COM STK USD1
|
6,400
|
Units
|
442,752
|
||||||
ASPEN
INSURANCE HLDGS COM STK USD0.15144558
|
10,100
|
Units
|
266,236
|
||||||
ASSURANT
INC COM STK USD0.01
|
13,400
|
Units
|
740,350
|
||||||
ASSURED
GUARANTY LTD COM STK USD0.01
|
31,700
|
Units
|
843,220
|
||||||
ASTORIA
FINANCIAL CORP COM STK USD0.01
|
62,100
|
Units
|
1,872,936
|
||||||
ASTRAZENECA
ADR EACH REP 1 ORD USD0.25(MGT)
|
22,900
|
Units
|
1,226,295
|
||||||
AT&T
INC COM STK USD1
|
52,700
|
Units
|
1,884,025
|
||||||
ATMEL
CORP COM STK USD0.001
|
192,700
|
Units
|
1,165,835
|
||||||
ATMI
INC COM STK USD0.01
|
6,300
|
Units
|
192,339
|
||||||
ATWOOD
OCEANICS INC COM STK USD1
|
16,100
|
Units
|
788,417
|
||||||
AUTODESK
INC COM STK NPV
|
54,900
|
Units
|
2,221,254
|
||||||
AUTOLIV
INC COM STK USD1
|
15,500
|
Units
|
934,650
|
||||||
AUTOZONE
INC COM STK USD0.01
|
5,600
|
Units
|
647,136
|
||||||
AVNET
INC COM STK USD1
|
108,600
|
Units
|
2,772,558
|
||||||
AVOCENT
CORP COM STK USD0.01
|
10,700
|
Units
|
362,195
|
||||||
BANNER
CORP COM STK USD0.01
|
3,000
|
Units
|
133,590
|
||||||
BANTA
CORP COM STK USD0.10
|
13,400
|
Units
|
487,760
|
||||||
BASF
AG ADR-EACH REPR 1 ORD NPV LEVEL II
|
4,400
|
Units
|
427,724
|
||||||
BAXTER
INTL INC COM USD1
|
4,300
|
Units
|
199,477
|
||||||
BEA
SYSTEMS INC COM USD0.001
|
65,000
|
Units
|
817,700
|
||||||
BECKMAN
COULTER INC COM STK USD0.10
|
19,300
|
Units
|
1,154,140
|
||||||
BECTON
DICKINSON & CO COM STK USD1
|
18,100
|
Units
|
1,274,150
|
||||||
BEL
FUSE INC CLASS'B'SHS USD0.1
|
6,300
|
Units
|
219,177
|
||||||
BELDEN
INC COM STK USD0.01
|
7,200
|
Units
|
281,808
|
||||||
BENCHMARK
ELECTRONICS INC COM STK USD0.10
|
66,500
|
Units
|
1,619,940
|
||||||
BERKLEY(W.R.)CORP
COM STK USD0.20
|
64,500
|
Units
|
2,228,367
|
||||||
BHP
BILLITON LIMITED ADR EACH REP 2 ORD NPV(MGT)
|
10,900
|
Units
|
433,275
|
||||||
BIG
5 SPORTING GOODS CORP COM STK USD0.01
|
3,400
|
Units
|
83,028
|
||||||
BIO
RAD LABORATORIES INC CLASS'A'COM STK USD0.0001
|
1,600
|
Units
|
132,032
|
||||||
BISYS
GROUP COM STK USD0.02
|
16,600
|
Units
|
214,306
|
||||||
BJ
SERVICES COM STK USD0.10
|
63,300
|
Units
|
1,858,976
|
||||||
BJS
WHOLESALE CLUB INC COM STK USD0.01
|
14,900
|
Units
|
463,539
|
||||||
BMC
SOFTWARE INC COM STK USD0.01
|
27,200
|
Units
|
875,840
|
||||||
BOEING
CO COM STK USD5
|
57,000
|
Units
|
5,063,880
|
||||||
BOK
FINANCIAL CORP COM STK USD0.00006
|
6,200
|
Units
|
340,876
|
||||||
BORG-WARNER
INC COM STK USD0.01
|
26,645
|
Units
|
1,572,588
|
||||||
BRINKER
INTERNATIONAL COM STK USD0.10
|
23,650
|
Units
|
713,284
|
||||||
BROADCOM
CORP CLASS'A'COM STK USD0.0001
|
71,400
|
Units
|
2,306,934
|
||||||
BROADWING
CORPORATION
|
52,100
|
Units
|
813,802
|
||||||
BROOKS
AUTOMATION INC
|
69,800
|
Units
|
1,005,120
|
||||||
BROWN
SHOE CO INC COM STK USD3.75
|
7,700
|
Units
|
368,214
|
||||||
CABLEVISION
SYSTEMS CORP NY GROUP COM STK USD0.01
|
73,100
|
Units
|
2,081,888
|
||||||
CABOT
CORP COM STK USD1
|
3,400
|
Units
|
148,138
|
||||||
CABOT
OIL & GAS CO COM USD0.10
|
3,900
|
Units
|
236,535
|
||||||
CADENCE
DESIGN SYSTEMS INC COM STK USD0.01
|
118,900
|
Units
|
2,129,499
|
||||||
CAE
INC COM NPV
|
143,000
|
Units
|
1,312,740
|
||||||
CAMBREX
CORP COM STK USD0.10
|
7,300
|
Units
|
165,856
|
||||||
CAMECO
CORP COM NPV
|
84,100
|
Units
|
3,404,742
|
||||||
CAREMARK
RX INC COM STK USD0.001
|
4,500
|
Units
|
258,715
|
||||||
CARTERS
INC COM STK USD0.01
|
72,200
|
Units
|
1,841,100
|
||||||
CDW
CORPORATION COM USD0.01
|
12,400
|
Units
|
871,968
|
||||||
CEC
ENTERTAINMENT COM STK USD0.10
|
2,400
|
Units
|
96,600
|
||||||
CELGENE
CORP COM STK USD0.01
|
11,800
|
Units
|
678,854
|
||||||
CEMEX
S.A.B. DE C.V. ADR EACH REP 10 CPO(SPON)
|
12,900
|
Units
|
437,052
|
||||||
CENTENNIAL
COMMUNICATIONS CORP CLASS'A'COM STK USD0.01
|
112,900
|
Units
|
811,751
|
||||||
CENTRAL
PAC FINL CORP COM
|
5,000
|
Units
|
193,800
|
||||||
CEPHALON
INC COM STK USD0.01
|
22,300
|
Units
|
1,570,143
|
||||||
CHAMPION
ENTERPRISES INC COM STK USD1
|
31,900
|
Units
|
298,584
|
||||||
CHARMING
SHOPPES INC COM STK USD0.10
|
78,800
|
Units
|
1,066,164
|
||||||
CHECKPOINT
SYSTEMS COM STK USD0.10
|
8,900
|
Units
|
179,780
|
||||||
CHESAPEAKE
ENERGY CORP COM STK USD0.01
|
33,100
|
Units
|
963,541
|
||||||
CHEVRON
CORP COM STK USD0.75
|
22,500
|
Units
|
1,654,425
|
||||||
CHICAGO
BRIDGE & IRON CO N.V. EUR0.01 (REG)
|
8,100
|
Units
|
221,454
|
||||||
CHILDRENS
PLACE RETAIL STORE INC COM STK USD0.10
|
5,700
|
Units
|
362,064
|
||||||
CHITTENDEN
CORP COM STK USD1
|
3,406
|
Units
|
104,530
|
||||||
CIBER
INC COM STK USD0.01
|
30,100
|
Units
|
204,078
|
||||||
CIGNA
CORP COM STK USD0.25
|
25,800
|
Units
|
3,395,154
|
||||||
CIMAREX
ENERGY CO COM STK USD0.01
|
4,500
|
Units
|
164,250
|
||||||
CINCINNATI
BELL NC USD0.01
|
281,300
|
Units
|
1,285,541
|
||||||
CISCO
SYSTEMS COM USD0.001
|
226,100
|
Units
|
6,179,313
|
||||||
CIT
GROUP INC COM STK USD0.01
|
37,100
|
Units
|
2,069,067
|
||||||
CITIGROUP
INC COM STK USD0.01
|
37,100
|
Units
|
2,066,470
|
||||||
CLAIRES
STORES INC COM STK USD0.05
|
29,000
|
Units
|
961,060
|
||||||
CLARCOR
INC COM STK USD1
|
12,500
|
Units
|
422,625
|
||||||
COACH
INC COM STK USD0.01
|
105,700
|
Units
|
4,540,872
|
||||||
COGNEX
CORP COM STK USD0.002
|
33,100
|
Units
|
788,442
|
||||||
COGNIZANT
TECHNOLO COM CL'A'USD0.01
|
21,300
|
Units
|
1,643,508
|
||||||
COLDWATER
CREEK COM STK USD0.01
|
56,600
|
Units
|
1,387,832
|
||||||
COLGATE-PALMOLIVE
CO COM STK USD1
|
20,000
|
Units
|
1,304,800
|
||||||
COLUMBIA
BANKING SYSTEMS INC COM STK NPV
|
3,300
|
Units
|
115,896
|
||||||
COMERICA
INC COM STK USD5
|
13,300
|
Units
|
780,444
|
||||||
COMPASS
BANCSHARES INC COM STK USD2
|
25,100
|
Units
|
1,507,004
|
||||||
COMPLETE
PRODUCTION SERVICES INC COM STK USD0.01
|
68,600
|
Units
|
1,454,320
|
||||||
COMPUTER
SCIENCES CORP COM STK USD1
|
45,900
|
Units
|
2,449,683
|
||||||
COMSTOCK
RESOURCES INC COM STK USD0.50
|
28,500
|
Units
|
885,210
|
||||||
COMTECH
TELECOMMUNICATIONS COM STK USD0.10
|
4,017
|
Units
|
152,927
|
||||||
COMVERSE
TECHNOLOGY INC COM STK USD0.10
|
19,700
|
Units
|
415,867
|
||||||
CONOCOPHILLIPS
COM STK USD1.25
|
24,000
|
Units
|
1,726,800
|
||||||
CONSECO
INC COM STK USD0.01
|
10,300
|
Units
|
205,794
|
||||||
CONSOL
ENERGY INC COM STK USD0.01
|
10,700
|
Units
|
343,791
|
||||||
CONSOLIDATED
EDISON INC COM STK USD0.10
|
39,900
|
Units
|
1,917,993
|
||||||
CORE
LABORATORIES NV EUR0.01
|
1,900
|
Units
|
153,900
|
||||||
CORN
PRODUCTS INTERNATIONAL INC COM STK USD0.01
|
3,800
|
Units
|
131,252
|
||||||
CORNING
INC COM STK USD0.50
|
82,500
|
Units
|
1,543,575
|
||||||
COVANCE
COM STK USD0.01
|
6,100
|
Units
|
359,351
|
||||||
COVENTRY
HEALTHCAR COM STK USD0.01
|
30,500
|
Units
|
1,526,525
|
||||||
COWEN
GROUP INC COM STK NPV
|
13,600
|
Units
|
287,640
|
||||||
CRANE
CO COM STK USD1
|
25,500
|
Units
|
934,320
|
||||||
CROWN
MEDIA HOLDINGS CLASS'A'COM STK USD0.01
|
48,900
|
Units
|
177,507
|
||||||
CSG
SYSTEMS INTL INC COM STK USD0.01
|
4,700
|
Units
|
125,631
|
||||||
CTS
CORP COM STK NPV
|
6,936
|
Units
|
109,103
|
||||||
CUMMINS
INC COM STK USD2.50
|
21,000
|
Units
|
2,481,780
|
||||||
CV
THERAPEUTICS INC COM STK USD0.001
|
45,700
|
Units
|
637,972
|
||||||
CYTEC
INDUSTRIES INC COM STK USD0.01
|
8,500
|
Units
|
480,335
|
||||||
DARDEN
RESTAURANTS INC COM STK NPV
|
35,900
|
Units
|
1,442,103
|
||||||
DAVITA
INC COM STK USD0.001
|
16,900
|
Units
|
961,272
|
||||||
DEL
MONTE FOODS COM STK USD0.01
|
97,800
|
Units
|
1,078,734
|
||||||
DEUTSCHE
BANK AG ORD NPV(REGD)
|
14,700
|
Units
|
1,958,628
|
||||||
DIEBOLD
INC COM STK USD1.25
|
8,700
|
Units
|
405,420
|
||||||
DIGITAL
REALTY TRUST INC COM STK USD0.01
|
6,600
|
Units
|
227,807
|
||||||
DILLARDS
INC CLASS'A'COM NPV
|
20,100
|
Units
|
703,701
|
||||||
DIRECTV
GROUP INC COM USD0.01
|
28,800
|
Units
|
718,272
|
||||||
DISCOVERY
HLDG CO CLASS'A'COM STK USD0.01
|
56,800
|
Units
|
913,912
|
||||||
DOMTAR
INC COM NPV
|
19,800
|
Units
|
167,112
|
||||||
DONNELLEY(R.R.)&
SONS CO COM STK USD1.25
|
44,000
|
Units
|
1,563,760
|
||||||
DREAMWORKS
ANIMATION SKG INC CLASS 'A' COM STK USD0.01
|
37,900
|
Units
|
1,117,671
|
||||||
DRS
TECHNOLOGIES INC COM STK USD0.01
|
11,500
|
Units
|
605,820
|
||||||
DST
SYSTEMS INC DELAWARE COM STK USD0.01
|
32,200
|
Units
|
2,016,686
|
||||||
DUKE
REALTY CORP COM STK USD0.01
|
37,000
|
Units
|
1,513,300
|
||||||
E
TRADE FINANCIAL CORP COM STK USD0.01
|
80,400
|
Units
|
1,802,568
|
||||||
EARTHLINK
INC COM STK USD0.01
|
43,300
|
Units
|
307,430
|
||||||
EATON
CORP COM USD0.50
|
22,400
|
Units
|
1,683,136
|
||||||
ECI
TELECOM ORD ILS0.12
|
17,362
|
Units
|
150,355
|
||||||
EDUCATION
REALTY TRUST INC COM STK USD0.01
|
11,800
|
Units
|
174,286
|
||||||
EDWARDS(A.G)INC
COM STK USD1
|
15,600
|
Units
|
990,444
|
||||||
EL
PASO ELECTRIC CO COM STK NPV
|
13,200
|
Units
|
321,684
|
||||||
ELEC
DATA SYS CORP COM USD0.01
|
33,600
|
Units
|
925,680
|
||||||
ELECTRONIC
ARTS COM USD0.01
|
66,300
|
Units
|
3,338,868
|
||||||
ELECTRONICS
FOR IMAGING COM STK USD0.01
|
21,800
|
Units
|
579,444
|
||||||
EMULEX
CORP COM STK USD0.10
|
43,400
|
Units
|
846,734
|
||||||
ENCORE
ACQUISITION CO COM STK USD0.01
|
23,100
|
Units
|
566,643
|
||||||
ENDURANCE
SPECIALTY HLDGS COM STK USD1
|
7,200
|
Units
|
263,376
|
||||||
ENERGEN
CORP COM STK USD0.01
|
10,000
|
Units
|
469,400
|
||||||
ENERGY
EAST CORP COM STK USD0.01
|
12,900
|
Units
|
319,920
|
||||||
ENERSYS
COM USD0.01
|
10,900
|
Units
|
174,400
|
||||||
ENI
ADR EACH REP 2 ORD (MGT)
|
24,300
|
Units
|
1,634,904
|
||||||
ENTERCOM
COMMUNICATIONS COM STK USD0.01
|
16,300
|
Units
|
459,334
|
||||||
ESSEX
PROPERTY TRUST INC COM STK USD0.0001
|
2,000
|
Units
|
260,180
|
||||||
EVEREST
RE GROUP COM STK USD0.01
|
5,500
|
Units
|
539,605
|
||||||
EXPRESS
SCRIPTS IN COM USD0.01
|
4,600
|
Units
|
329,360
|
||||||
FAIRCHILD
SEMICONDUCTOR INTL INC
|
27,400
|
Units
|
460,594
|
||||||
FEI
CO COM STK NPV
|
6,800
|
Units
|
179,316
|
||||||
FERRO
CORP COM STK USD1
|
13,600
|
Units
|
281,384
|
||||||
FINISH
LINE INC CLASS'A'COM STK USD0.01
|
36,700
|
Units
|
524,076
|
||||||
FIRST
FINANCIAL BANKSHARES INC COM STK USD10
|
2,200
|
Units
|
92,752
|
||||||
FIRST
INDIANA CORP COM STK USD0.01
|
3,000
|
Units
|
76,080
|
||||||
FIRST
MARBLEHEAD CORP COM STK USD0.01
|
19,450
|
Units
|
1,062,943
|
||||||
FIRST
MIDWEST BANCORP COM STK USD0.01
|
6,400
|
Units
|
249,440
|
||||||
FIRST
PLACE FINANCIAL/OHIO COM STK USD0.01
|
3,400
|
Units
|
79,866
|
||||||
FIRSTENERGY
CORP COM STK USD0.10
|
31,500
|
Units
|
1,899,450
|
||||||
FISERV
INC COM STK USD0.01
|
17,300
|
Units
|
906,866
|
||||||
FLEETWOOD
ENTERPRISES INC COM STK USD1
|
76,400
|
Units
|
604,324
|
||||||
FLEXTRONICS
INTERNATIONAL ORD USD0.01
|
102,300
|
Units
|
1,174,404
|
||||||
FLIR
SYSTEMS INC COM STK USD0.01
|
41,377
|
Units
|
1,317,030
|
||||||
FLUSHING
FINANCIAL CORP COM STK USD0.01
|
49,900
|
Units
|
851,793
|
||||||
FOOT
LOCKER INC COM STK USD0.01
|
22,600
|
Units
|
495,618
|
||||||
FORRESTER
RESEARCH INC COM STK USD0.01
|
4,400
|
Units
|
119,284
|
||||||
FOUNDRY
NETWORKS INC COM STK USD0.0001
|
79,500
|
Units
|
1,190,910
|
||||||
FPL
GROUP INC COM STK USD0.01
|
35,300
|
Units
|
1,921,026
|
||||||
FULLER(H.B.)CO
COM STK USD1
|
17,000
|
Units
|
438,940
|
||||||
G
& K SERVICES INC CLASS'A'COM STK USD0.50
|
3,400
|
Units
|
132,362
|
||||||
GAMESTOP
CORPORATION NEW CLASS 'A' COM USD0.001
|
12,000
|
Units
|
661,320
|
||||||
GATX
CORP COM STK USD0.625
|
3,300
|
Units
|
142,989
|
||||||
GENCORP
INC COM STK USD0.10
|
50,700
|
Units
|
710,814
|
||||||
GENENTECH
INC COM USD0.02
|
52,300
|
Units
|
4,243,099
|
||||||
GENERAL
CABLE CORP COM STK USD0.01
|
15,300
|
Units
|
668,763
|
||||||
GENERAL
COMMUNICATIONS CLASS'A'COM NPV
|
18,100
|
Units
|
284,713
|
||||||
GENERAL
DYNAMICS CORP COM STK USD1
|
11,300
|
Units
|
840,155
|
||||||
GENERAL
ELECTRIC CO. COM STK USD0.06
|
112,300
|
Units
|
4,210,547
|
||||||
GENERAL
MILLS INC COM STK USD0.1
|
23,400
|
Units
|
1,347,840
|
||||||
GENESIS
HEALTHCARE CORP COM STK USD0.01
|
3,300
|
Units
|
155,859
|
||||||
GEVITY
HR INC COM USD0.01
|
24,000
|
Units
|
568,560
|
||||||
GILEAD
SCIENCES COM USD0.001
|
105,800
|
Units
|
6,869,594
|
||||||
GLACIER
BANCORP COM STK USD0.01
|
2,457
|
Units
|
60,049
|
||||||
GLAXOSMITHKLINE
ADR EACH REPR 2 ORD GBP0.25
|
24,700
|
Units
|
1,312,947
|
||||||
GLOBAL
IMAGING SYSTEMS COM STK USD0.01
|
17,497
|
Units
|
384,059
|
||||||
GOL
LINHAS AEREAS INTELIGENTES SA ADR EACH REPR 1 PREF SHS
|
0
|
Units
|
1,581
|
||||||
GOLD
KIST HLDGS INC COM USD0.01
|
14,000
|
Units
|
294,280
|
||||||
GOLDMAN
SACHS GROUP INC COM STK USD0.01
|
24,000
|
Units
|
4,784,400
|
||||||
GOODRICH
CORP COM STK USD5
|
45,100
|
Units
|
2,063,565
|
||||||
GOOGLE
INC COM STK USD0.001 CLS'A'
|
16,600
|
Units
|
7,643,968
|
||||||
GRACO
INC COM STK USD1
|
53,700
|
Units
|
2,127,594
|
||||||
GRAY
TELEVISION INC.
|
58,900
|
Units
|
433,504
|
||||||
GREATBATCH
INC COM STK USD0.001
|
3,361
|
Units
|
90,478
|
||||||
GREIF
INC COM STK CLASS'A' NPV
|
1,000
|
Units
|
118,760
|
||||||
GRIFFON
CORP COM STK USD0.25
|
14,800
|
Units
|
377,400
|
||||||
GROUP
1 AUTOMOTIVE INC COM STK NPV
|
9,463
|
Units
|
489,426
|
||||||
GUESS
INC COM STK USD0.01
|
11,600
|
Units
|
735,788
|
||||||
HANMI
FINANCIAL CORP COM STK USD0.001
|
6,000
|
Units
|
135,540
|
||||||
HANOVER
INSURANCE GROUP INC COM STK USD0.01
|
10,900
|
Units
|
531,920
|
||||||
HANSEN
NATURAL CORP COM STK USD0.005
|
12,500
|
Units
|
421,000
|
||||||
HARLAND(JOHN
H.)CO COM STK USD1
|
14,300
|
Units
|
717,860
|
||||||
HARLEY
DAVIDSON COM STK USD0.01
|
9,200
|
Units
|
648,324
|
||||||
HARMONIC
INC COM STK USD0.001
|
174,800
|
Units
|
1,270,796
|
||||||
HARRAHS
ENTERTAINMENT INC COM STK USD0.10
|
20,400
|
Units
|
1,687,488
|
||||||
HARRIS
CORP COM STK USD1
|
9,100
|
Units
|
417,326
|
||||||
HARSCO
CORP COM STK USD1.25
|
24,800
|
Units
|
1,887,280
|
||||||
HARTE-HANKS
INC COM STK USD1
|
27,700
|
Units
|
767,567
|
||||||
HARTFORD
FINANCIAL SERVICES GRP INC COM STK USD0.01
|
21,700
|
Units
|
2,034,877
|
||||||
HASBRO
INC COM STK USD0.50
|
24,200
|
Units
|
659,450
|
||||||
HEALTH
CARE REIT INC COM STK USD1
|
5,862
|
Units
|
252,170
|
||||||
HEALTH
NET INC COM USD0.001
|
76,700
|
Units
|
3,732,222
|
||||||
HEALTHSPRING
USD0.01
|
11,300
|
Units
|
229,955
|
||||||
HEIDRICK
& STRUGGLES COM STK USD0.01
|
20,700
|
Units
|
876,852
|
||||||
HELIX
ENERGY SOLUTIONS GROUP INC COM STK NPV
|
29,500
|
Units
|
925,415
|
||||||
HELMERICH
& PAYNE INC COM STK USD0.10
|
48,100
|
Units
|
1,177,007
|
||||||
HERBALIFE
LTD
|
6,700
|
Units
|
269,072
|
||||||
HESS
CORPORATION COM USD1
|
33,300
|
Units
|
1,654,011
|
||||||
HEWITT
ASSOCIATES COM USD0.01 CLASS A
|
22,800
|
Units
|
587,100
|
||||||
HEWLETT
PACKARD CO COM USD0.01
|
68,400
|
Units
|
2,819,084
|
||||||
HILB
ROGAL & HOBBS COM STK NPV
|
6,700
|
Units
|
282,204
|
||||||
HOLOGIC
INC COM STK USD0.01
|
22,700
|
Units
|
1,073,256
|
||||||
HOME
PROPERTIES INC COM STK USD0.01
|
7,600
|
Units
|
450,452
|
||||||
HORMEL
FOODS CORP COM STK USD0.0586
|
42,000
|
Units
|
1,568,280
|
||||||
HOSPIRA
INC COM STK USD0.01
|
8,900
|
Units
|
298,862
|
||||||
HOUSTON
EXPLORATION CO COM STK USD0.01
|
1,200
|
Units
|
62,136
|
||||||
HUMAN
GENOME SCIENCES COM STK USD0.01
|
69,600
|
Units
|
865,824
|
||||||
HYPERION
SOLUTIONS CORP COM STK USD0.001
|
30,200
|
Units
|
1,085,388
|
||||||
IBERIABANK
CORP COM STK USD1
|
2,700
|
Units
|
160,299
|
||||||
IDACORP
INC COM STK NPV
|
41,000
|
Units
|
1,584,650
|
||||||
IKON
OFFICE SOLUTIONS COM STK NPV
|
40,900
|
Units
|
669,533
|
||||||
IMATION
CORP COM STK USD0.01
|
14,200
|
Units
|
659,306
|
||||||
IMS
HEALTH INC COM STK USD0.01
|
43,100
|
Units
|
1,184,388
|
||||||
INDEPENDENT
BANK CORP MICHIGAN COM STK USD1
|
3,150
|
Units
|
79,664
|
||||||
INDEPENDENT
BANK CORP(MASS) COM STK USD0.01
|
2,400
|
Units
|
86,856
|
||||||
INDYMAC
BANCORP INC COM STK USD0.01
|
10,500
|
Units
|
474,180
|
||||||
INFINITY
PROPERTY & CASUALTY CORP COM NPV
|
5,200
|
Units
|
251,628
|
||||||
INFOSYS
TECHNOLOGIES ADR EACH REPR 1ORD INR5
|
24,100
|
Units
|
1,314,896
|
||||||
ING
GROEP N.V. ADR-EACH REPR 1 ORD(SPONS)
|
44,900
|
Units
|
1,983,233
|
||||||
INGRAM
MICRO INC CLASS'A'COM STK USD0.01
|
36,000
|
Units
|
734,760
|
||||||
INSIGHT
ENTERPRISE INC COM STK USD0.01
|
32,800
|
Units
|
618,936
|
||||||
INTEGRATED
DEVICE TECHNOLOGY COM STK USD0.001
|
32,000
|
Units
|
495,360
|
||||||
INTER
TEL INC COM STK NPV
|
7,400
|
Units
|
164,576
|
||||||
INTERACTIVE
DATA CORP COM STK NPV
|
15,200
|
Units
|
365,408
|
||||||
INTERCONTINENTAL
EXCHANGE INC COM STK USD0.01
|
21,800
|
Units
|
2,352,220
|
||||||
INTERNATIONAL
BUS MACH CORP COM STK USD0.20
|
9,500
|
Units
|
922,925
|
||||||
INTERNATIONAL
GAME TECHNOLOGY COM STK USD0.000625
|
15,200
|
Units
|
704,099
|
||||||
INTERNATIONAL
SPEEDWAY CORP CLASS'A'COM STK USD0.01
|
15,600
|
Units
|
796,224
|
||||||
INVITROGEN
COM STK USD0.01
|
11,900
|
Units
|
673,421
|
||||||
IPC
HLDGS COM STK USD0.01
|
48,200
|
Units
|
1,515,890
|
||||||
JACK
IN THE BOX INC COM STK USD0.01
|
4,000
|
Units
|
244,160
|
||||||
JARDEN
CORP COM STK NPV
|
13,600
|
Units
|
473,144
|
||||||
JOHNSON
& JOHNSON COM STK USD1
|
19,700
|
Units
|
1,300,594
|
||||||
JOHNSON
CONTROLS INC COM STK USD0.16 2/3
|
11,000
|
Units
|
948,387
|
||||||
JONES
APPAREL GROUP INC COM STK USD0.01
|
15,600
|
Units
|
521,508
|
||||||
JOS
A BANK CLOTHIERS COM STK USD0.01
|
36,300
|
Units
|
1,065,405
|
||||||
JOURNAL
COMMUNICATIONS INC COM STK USD0.01
|
32,800
|
Units
|
413,608
|
||||||
JOY
GLOBAL INC COM STK USD1
|
40,000
|
Units
|
1,933,600
|
||||||
K&F
INDUSTRIES HOLDINGS INC COM STK USD0.01
|
21,400
|
Units
|
485,994
|
||||||
KADANT
INC COM STK USD0.01
|
3,906
|
Units
|
95,228
|
||||||
KEANE
INC COM STK USD0.10
|
22,800
|
Units
|
271,548
|
||||||
KELLOGG
CO COM STK USD0.25
|
26,200
|
Units
|
1,311,572
|
||||||
KELLWOOD
CO COM STK USD0.01
|
8,700
|
Units
|
282,924
|
||||||
KENNAMETAL
INC CAP STK USD1.25
|
8,200
|
Units
|
482,570
|
||||||
KEY
ENERGY SERVICES INC COM STK USD0.10
|
29,200
|
Units
|
456,980
|
||||||
KIMBERLY-CLARK
CORP COM STK USD1.25
|
19,400
|
Units
|
1,327,050
|
||||||
KINDRED
HEALTHCARE INC COM STK USD0.25
|
29,100
|
Units
|
734,775
|
||||||
KINETIC
CONCEPTS INC COM STK USD0.001
|
8,200
|
Units
|
324,310
|
||||||
KKR
FINANCIAL HLDGS LLC COM STK USD0.01
|
22,100
|
Units
|
592,059
|
||||||
KLA
TENCOR CORP COM STK USD0.001
|
19,200
|
Units
|
955,200
|
||||||
KNOLL
INC COM STK USD1
|
27,300
|
Units
|
600,600
|
||||||
KOHLS
CORP COM STK USD0.01
|
9,600
|
Units
|
656,928
|
||||||
L-1
IDENTITY (HLD) COM STK USD0.001
|
29,700
|
Units
|
449,361
|
||||||
LAB
CORP AMER HLDG COM USD0.1
|
17,900
|
Units
|
1,315,113
|
||||||
LABOR
READY INC COM STK NPV
|
4,817
|
Units
|
88,296
|
||||||
LAKELAND
FINANCIAL CORP COM STK USD0.01
|
3,300
|
Units
|
84,249
|
||||||
LAM
RESEARCH CORP COM STK USD0.001
|
100,000
|
Units
|
5,062,000
|
||||||
LANCE
INC COM STK USD0.833
|
2,103
|
Units
|
42,228
|
||||||
LANDSTAR
SYSTEMS INC COM STK USD0.01
|
3,200
|
Units
|
122,176
|
||||||
LEHMAN
BROS HLDGS INC COM STK USD0.10
|
24,800
|
Units
|
1,937,376
|
||||||
LENNOX
INTERNATIONAL INC COM STK USD0.01
|
32,300
|
Units
|
992,902
|
||||||
LEXINGTON
REALTY TRUST COM STK USD0.0001
|
8,800
|
Units
|
202,554
|
||||||
LIBERTY
GLOBAL INC COM STK SERIES 'C' USD0.01
|
55,300
|
Units
|
1,548,400
|
||||||
LIBERTY
MEDIA-INTERACTIVE A COM STK USD0.01 'A'
|
21,100
|
Units
|
455,127
|
||||||
LIFEPOINT
HOSPITALS INC COM STK USD0.01
|
30,100
|
Units
|
1,014,370
|
||||||
LIMITED
BRANDS INC COM STK USD0.50
|
22,600
|
Units
|
654,044
|
||||||
LIN
TV CORP COM STK USD0.01
|
100,300
|
Units
|
997,985
|
||||||
LINCARE
HLDGS INC COM STK USD0.01
|
34,400
|
Units
|
1,370,496
|
||||||
LINCOLN
ELECTRIC HLDGS INC COM STK NPV
|
5,200
|
Units
|
315,328
|
||||||
LINCOLN
NATIONAL CORP COM STK USD1.25
|
18,600
|
Units
|
1,235,040
|
||||||
LOCKHEED
MARTIN CORP COM STK USD1
|
9,300
|
Units
|
856,251
|
||||||
LODGENET
ENTERTAINMENT CORP COM STK USD0.01
|
38,900
|
Units
|
973,667
|
||||||
LOEWS
CORP CAROLINA GROUP COM STK USD0.01
|
9,200
|
Units
|
595,424
|
||||||
LOUISIANA-PACIFIC
CORP COM STK USD1
|
20,100
|
Units
|
432,753
|
||||||
LOWE'S
COS INC COM STK USD0.50
|
64,800
|
Units
|
2,018,520
|
||||||
MACATAWA
BANK CORP COM STK NPV
|
3,400
|
Units
|
72,284
|
||||||
MACY'S
INC COM STK USD0.01
|
50,500
|
Units
|
1,933,177
|
||||||
MAF
BANCORP INC COM STK USD0.01
|
1,800
|
Units
|
80,892
|
||||||
MAGELLAN
HEALTH SERVICES INC
|
5,700
|
Units
|
246,354
|
||||||
MANPOWER
INC COM STK USD0.01
|
33,400
|
Units
|
2,502,662
|
||||||
MARATHON
OIL CORP COM STK USD1
|
17,600
|
Units
|
1,628,000
|
||||||
MARRIOTT
INTERNATIONAL INC COM STK USD0.01 CL'A'
|
62,100
|
Units
|
2,967,512
|
||||||
MARVELL
TECH GROUP COM NPV
|
173,500
|
Units
|
3,329,465
|
||||||
MASCO
CORP COM STK USD1
|
31,600
|
Units
|
943,892
|
||||||
MASSEY
ENERGY COM COM STK USD0.625
|
10,300
|
Units
|
239,681
|
||||||
MATTEL
INC COM STK USD1
|
28,500
|
Units
|
645,810
|
||||||
MATTHEWS
INTL CORP CLASS'A'COM STK USD1
|
10,600
|
Units
|
417,110
|
||||||
MAX
CAPITAL GROUP COM STK USD1
|
33,600
|
Units
|
833,952
|
||||||
MAXIMUS
INC COM STK NPV
|
14,786
|
Units
|
455,113
|
||||||
MB
FINANCIAL INC COM STK USD0.01
|
4,400
|
Units
|
165,484
|
||||||
MBIA
INC COM STK USD1
|
7,800
|
Units
|
572,286
|
||||||
MCAFEE
INC COM STK USD0.01
|
31,000
|
Units
|
879,780
|
||||||
MCCLATCHY
CO CLASS'A'COM STK USD0.01
|
13,400
|
Units
|
582,632
|
||||||
MCDONALD'S
CORP COM STK USD0.01
|
15,200
|
Units
|
673,816
|
||||||
MCKESSON
CORP COM STK USD0.01
|
26,500
|
Units
|
1,345,140
|
||||||
MEADWESTVACO
CORPORATION COM NPV
|
27,700
|
Units
|
832,662
|
||||||
MEDAREX
INC COM STK USD0.01
|
89,400
|
Units
|
1,322,226
|
||||||
MEDCO
HEALTH SOLUTIONS INC COM STK USD0.01
|
25,300
|
Units
|
1,352,032
|
||||||
MEDIA
GENERAL INC CLASS'A'COM USD5
|
4,300
|
Units
|
159,831
|
||||||
MEDICAL
PROPERTIES TRUST INC COM STK USD0.001
|
29,500
|
Units
|
459,315
|
||||||
MEMC
ELECTRONICS MATERIALS INC COM STK USD0.01
|
22,500
|
Units
|
880,650
|
||||||
MERCK
& CO INC COM STK USD0.01
|
29,600
|
Units
|
1,301,276
|
||||||
MERRILL
LYNCH & CO INC COM STK USD1.333
|
40,300
|
Units
|
3,751,930
|
||||||
METLIFE
INC COM STK USD0.01
|
32,700
|
Units
|
1,929,627
|
||||||
METTLER
TOLEDO COM STK USD0.01
|
11,700
|
Units
|
922,545
|
||||||
MFA
MORTGAGE INVESTMENTS COM SHS
|
66,800
|
Units
|
517,700
|
||||||
MICROCHIP
TECHNOLOGY COM STK USD0.001
|
23,600
|
Units
|
771,720
|
||||||
MICROSOFT
CORP COM USD0.0000125
|
205,100
|
Units
|
6,124,286
|
||||||
MILLENNIUM
PHARM COM USD0.001
|
73,400
|
Units
|
800,060
|
||||||
MINERALS
TECHNOLOGIES INC COM STK USD0.10
|
3,100
|
Units
|
182,249
|
||||||
MOLECULAR
DEVICES COM STK USD0.001
|
16,557
|
Units
|
348,856
|
||||||
MOLINA
HEALTHCARE INC COM STK USD0.001
|
3,100
|
Units
|
100,781
|
||||||
MONACO
COACH CORP COM STK USD0.01
|
28,300
|
Units
|
400,728
|
||||||
MONEYGRAM
INTERNATIONAL INC COM USD0.01
|
9,600
|
Units
|
301,536
|
||||||
MONSANTO
CO NEW(DELAWARE) COM STK USD0.01
|
19,700
|
Units
|
1,034,841
|
||||||
MONSTER
WORLDWIDE COM USD0.001
|
28,300
|
Units
|
1,319,912
|
||||||
MOOG
INC CLASS'A'(LIM.V)USD1
|
7,400
|
Units
|
282,606
|
||||||
MORGAN
STANLEY COM STK USD0.01
|
23,500
|
Units
|
1,913,605
|
||||||
MOTOROLA
INC COM STK USD3
|
102,600
|
Units
|
2,114,651
|
||||||
MPS
GROUP INC COM STK USD0.01
|
31,000
|
Units
|
439,580
|
||||||
MUELLER
INDUSTRIES INC COM STK USD0.01
|
3,500
|
Units
|
110,950
|
||||||
MYRIAD
GENETICS IN COM USD0.01
|
79,800
|
Units
|
2,497,740
|
||||||
NASDAQ
STOCK MARKET INC COM STK USD0.01
|
36,200
|
Units
|
1,114,598
|
||||||
NATIONWIDE
FINANCIAL SOLUTIONS INC CLASS'A'COM STK USD0.01
|
14,300
|
Units
|
778,349
|
||||||
NAVIGATORS
GROUP INC COM STK USD0.10
|
4,500
|
Units
|
216,810
|
||||||
NCR
CORP COM STK USD0.01
|
20,900
|
Units
|
893,684
|
||||||
NEENAH
PAPER INC COM STK USD0.01
|
5,800
|
Units
|
204,856
|
||||||
NET
BANK INC COM STK USD0.01
|
61,400
|
Units
|
284,896
|
||||||
NEUSTAR
INC-CLASS COM STK USD0.001
|
30,400
|
Units
|
986,176
|
||||||
NEW
YORK TIMES CO COM CLASS'A'STK USD0.10
|
15,000
|
Units
|
365,400
|
||||||
NEWPARK
RESOURCES INC COM STK USD0.01
|
36,100
|
Units
|
260,281
|
||||||
NEWS
CORP CLASS'A'NON VTG COM STKUSD0.01
|
166,500
|
Units
|
3,576,420
|
||||||
NII
HOLDINGS INC COM STK USD0.001
|
35,700
|
Units
|
2,300,508
|
||||||
NIKE
INC CLASS'B'COM STK NPV
|
45,800
|
Units
|
4,552,705
|
||||||
NOBLE
CORP COM STK USD0.1
|
28,300
|
Units
|
2,155,045
|
||||||
NOBLE
ENERGY INC COM USD3.33 1/3
|
38,200
|
Units
|
1,874,474
|
||||||
NOBLE
INTERNATIONAL LD COM STK NPV
|
5,600
|
Units
|
112,280
|
||||||
NORDSON
CORP COM STK NPV
|
4,900
|
Units
|
245,025
|
||||||
NORDSTROM
INC COM STK NPV
|
13,500
|
Units
|
666,090
|
||||||
NORTHROP
GRUMMAN CORP COM STK USD1
|
12,600
|
Units
|
853,020
|
||||||
NORTHWEST
NATURAL GAS CO COM STK USD3.167
|
8,500
|
Units
|
360,740
|
||||||
NOVARTIS
AG ADR EACH REPR 1 CHF0.50(REGD)
|
67,100
|
Units
|
3,854,224
|
||||||
NOVELLUS
SYSTEMS INC COM STK NPV
|
56,100
|
Units
|
1,930,962
|
||||||
NU
SKIN ENTERPRISES INC CLASS'A'COM STK USD0.001
|
11,300
|
Units
|
205,999
|
||||||
NUVEEN
INVESTMENTS CLASS'A'COM USD0.01
|
27,700
|
Units
|
1,437,076
|
||||||
NVIDIA
CORP COM USD0.001
|
23,900
|
Units
|
884,539
|
||||||
NYMAGIC
INC COM STK USD1
|
2,500
|
Units
|
91,700
|
||||||
NYSE
GROUP INC COM STK USD0.01
|
28,700
|
Units
|
2,789,640
|
||||||
OAKLEY
INC COM STK NPV
|
11,400
|
Units
|
228,684
|
||||||
OCCIDENTAL
PETROLEUM CORP COM USD0.20
|
75,900
|
Units
|
3,722,411
|
||||||
OCEANEERING
INTERNATIONAL INC COM STK USD0.25
|
6,700
|
Units
|
265,990
|
||||||
OFFICE
DEPOT INC COM STK USD0.01
|
17,400
|
Units
|
664,158
|
||||||
OFFICEMAX
INC COM STK USD2.50
|
13,800
|
Units
|
687,240
|
||||||
OLD
DOMINION FREIGHT LINE INC COM STK USD0.10
|
6,900
|
Units
|
166,083
|
||||||
OLD
REPUBLIC INTERNATIONAL CORP COM STK USD1
|
69,700
|
Units
|
1,622,616
|
||||||
OLIN
CORP COM STK USD1
|
13,500
|
Units
|
223,020
|
||||||
OMNICARE
INC COM STK USD1
|
27,500
|
Units
|
1,062,325
|
||||||
OPENTV
CORP NPV CLASS'A'
|
136,800
|
Units
|
317,376
|
||||||
OPTIONSXPRESS
HLDGS INC COM STK USD0.0001
|
34,900
|
Units
|
791,881
|
||||||
ORACLE
CORP COM USD0.01
|
50,900
|
Units
|
872,426
|
||||||
O'REILLY
AUTOMOTIVE INC COM STK USD0.01
|
41,700
|
Units
|
1,336,902
|
||||||
OSHKOSH
TRUCK CORP COM STK USD0.01
|
30,900
|
Units
|
1,496,178
|
||||||
OSI
PHARMACEUTICALS INC COM STK USD0.01
|
16,400
|
Units
|
573,672
|
||||||
OVERSEAS
SHIPHOLDING GROUP INC COM STK USD1
|
14,300
|
Units
|
805,090
|
||||||
OXFORD
INDUSTRIES INC COM STK USD1
|
21,800
|
Units
|
1,082,370
|
||||||
PACER
INTL INC COM
|
6,700
|
Units
|
201,469
|
||||||
PACIFIC
CONTINETAL CORP COM STK USD1
|
2,917
|
Units
|
56,240
|
||||||
PACIFIC
SUNWEAR OF CALIFORNIA INC COM STK USD0.01
|
29,300
|
Units
|
573,694
|
||||||
PACTIV
CORP COM STK USD0.01
|
12,600
|
Units
|
449,694
|
||||||
PALL
CORP COM STK USD0.10
|
50,200
|
Units
|
1,734,410
|
||||||
PARAMETRIC
TECHNOLOGY CORP NEW COM STK USD0.01
|
11,900
|
Units
|
214,438
|
||||||
PARKWAY
PROPERTIES INC COM STK USD0.001
|
4,200
|
Units
|
214,242
|
||||||
PARTNERRE
COM STK USD1
|
10,500
|
Units
|
745,815
|
||||||
PATTERSON
COS INC COM STK USD0.01
|
22,600
|
Units
|
802,526
|
||||||
PATTERSON
UTI ENERGY INC COM STK USD0.01
|
78,100
|
Units
|
1,814,263
|
||||||
PAXAR
CORP COM STK USD0.10
|
19,100
|
Units
|
440,446
|
||||||
PDL
BIOPHARMA INC COM STK USD0.01
|
87,300
|
Units
|
1,758,222
|
||||||
PENN
NATIONAL GAMING INC COM STK USD0.01
|
28,700
|
Units
|
1,194,494
|
||||||
PENNEY(J.C.)CO
INC COM STK USD0.50
|
8,300
|
Units
|
642,088
|
||||||
PEPSI
BOTTLING GROUP INC COM STK USD0.01
|
41,600
|
Units
|
1,290,432
|
||||||
PEPSICO
INC CAP USD0.016666
|
76,000
|
Units
|
4,777,620
|
||||||
PERFORMANCE
FOODS GROUP INC COM STK USD0.01
|
12,000
|
Units
|
331,680
|
||||||
PEROT
SYSTEMS CLASS'A'COM STK USD0.01
|
76,500
|
Units
|
1,253,835
|
||||||
PER-SE
TECHNOLOGIES INC COM STK USD0.01
|
17,500
|
Units
|
486,150
|
||||||
PFIZER
INC COM USD0.05
|
52,300
|
Units
|
1,354,570
|
||||||
PHILADELPHIA
CONSOLIDATED HOLDINGS COM STK NPV
|
7,100
|
Units
|
316,376
|
||||||
PHOTRONICS
INC COM STK USD0.01
|
75,300
|
Units
|
1,230,402
|
||||||
PINNACLE
WEST CAPITAL CORP COM STK USD2.50
|
32,300
|
Units
|
1,637,287
|
||||||
PLATINUM
UNDERWRITERS HLDGS LTD SHS
|
51,100
|
Units
|
1,581,034
|
||||||
PMI
GROUP INC COM STK USD0.01
|
53,300
|
Units
|
2,516,959
|
||||||
POLO
RALPH LAUREN CORP CLASS'A'COM STK USD0.01
|
15,500
|
Units
|
1,204,505
|
||||||
POLYCOM
INC COM STK USD0.0005
|
26,900
|
Units
|
831,479
|
||||||
PPG
INDUSTRIES INC COM STK USD1.666
|
6,100
|
Units
|
391,681
|
||||||
PRAXAIR
INC COM STK USD0.01
|
6,800
|
Units
|
403,444
|
||||||
PRECISION
CASTPARTS COM NPV
|
78,900
|
Units
|
6,178,698
|
||||||
PREFERRED
BK LOS ANGELES CALIFORNIA COM STK USD0.01
|
1,400
|
Units
|
84,126
|
||||||
PREMIUM
STANDARD FARMS INC COM STK USD0.01
|
27,100
|
Units
|
504,873
|
||||||
PRICELINE.COM
INC COM STK USD0.008
|
30,600
|
Units
|
1,334,466
|
||||||
PRIDE
INTL INC NEW COM USD0.01
|
34,000
|
Units
|
1,020,340
|
||||||
PROCTER
& GAMBLE CO COM STK NPV
|
51,700
|
Units
|
3,322,759
|
||||||
PROGRESS
SOFTWARE CORP COM STK USD0.01
|
8,300
|
Units
|
231,819
|
||||||
PROSPERITY
BANCSHARES INC COM STK USD1
|
4,600
|
Units
|
159,264
|
||||||
PROTECTIVE
LIFE CORP COM STK USD0.50
|
14,700
|
Units
|
698,250
|
||||||
PULTE
HOMES INC COM STK USD0.01
|
36,200
|
Units
|
1,200,392
|
||||||
QLOGIC
CORP COM STK USD0.001
|
60,900
|
Units
|
1,334,928
|
||||||
QUALCOMM
INC COM STK USD0.0001
|
123,400
|
Units
|
4,678,286
|
||||||
QUESTAR
CORP COM STK NPV
|
12,500
|
Units
|
1,038,125
|
||||||
QUIKSILVER
INC COM STK USD0.01
|
27,600
|
Units
|
434,700
|
||||||
QUINTANA
MARITIME LTD COM STK USD0.01
|
18,800
|
Units
|
207,176
|
||||||
R.H.
DONNELLEY CORP COM STK USD1
|
18,400
|
Units
|
1,154,232
|
||||||
RADIAN
GROUP INC COM USD0.001
|
15,700
|
Units
|
846,387
|
||||||
RAILAMERICA
INC COM STK USD0.001
|
10,200
|
Units
|
164,016
|
||||||
RAMCO-GERSHENSON
PROPERTIES TRUST SBI USD0.01
|
6,200
|
Units
|
239,243
|
||||||
RARE
HOSPITALITY INC COM STK NPV
|
34,000
|
Units
|
1,119,620
|
||||||
RAYONIER
INC COM STK NPV
|
10,000
|
Units
|
410,500
|
||||||
RC2
CORP COM STK USD0.01
|
5,200
|
Units
|
228,800
|
||||||
READERS
DIGEST ASSOCIATION INC CLASS'A'COM STK NON VTG USD0.01
|
34,300
|
Units
|
572,810
|
||||||
RECORDKEEPER
FEES
|
0
|
Units
|
(29,464 | ) | |||||
RED
ROBIN GOURMET BURGERS INC COM STK USD0.001
|
15,800
|
Units
|
566,430
|
||||||
REGENERON
PHARMACEUTICALS INC COM STK USD0.001
|
46,700
|
Units
|
937,269
|
||||||
REHABCARE
GROUP INC COM
|
14,600
|
Units
|
216,810
|
||||||
RELIANCE
STEEL & ALUMINIUM COM STK NPV
|
10,800
|
Units
|
425,952
|
||||||
RESEARCH
IN MOTION COM NPV
|
23,000
|
Units
|
2,938,940
|
||||||
RESOURCES
CONNECTION INC COM STK USD0.01
|
22,700
|
Units
|
722,768
|
||||||
REYNOLDS
AMERICAN INC COM STK USD0.0001
|
19,900
|
Units
|
1,317,028
|
||||||
RF
MICRO DEVICES INC COM STK NPV
|
130,600
|
Units
|
886,774
|
||||||
ROBERT
HALF INTERNATIONAL INC COM STK USD1
|
36,900
|
Units
|
1,369,728
|
||||||
ROCHE
HLDG AG ADR-REPR GENUS PTG CERT NPV SPONS(BNY)
|
65,500
|
Units
|
5,862,106
|
||||||
ROCK-TENN
CO CLASS'A'COM STK USD0.01
|
13,300
|
Units
|
360,563
|
||||||
ROCKWELL
COLLINS INC COM STK USD0.01
|
13,900
|
Units
|
879,731
|
||||||
ROHM
& HAAS CO COM STK USD2.50
|
8,500
|
Units
|
434,520
|
||||||
ROWAN
COS INC COM USD0.125
|
20,900
|
Units
|
693,880
|
||||||
ROYAL
DUTCH SHELL ADR EACH REPR 2'A'SHS
|
23,200
|
Units
|
1,642,328
|
||||||
RTI
INTERNATIONAL METALS INC COM STK USD0.01
|
17,500
|
Units
|
1,368,850
|
||||||
RUDDICK
CORP COM STK USD1
|
28,500
|
Units
|
794,010
|
||||||
RYDER
SYSTEM INC COM STK USD0.50
|
1,400
|
Units
|
71,484
|
||||||
SAFECO
CORP COM STK NPV
|
25,300
|
Units
|
1,582,515
|
||||||
SANDISK
CORP COM STK USD0.001
|
10,900
|
Units
|
469,027
|
||||||
SANMINA-SCI
CORP COM STK USD0.01
|
92,400
|
Units
|
318,780
|
||||||
SAP
AG ADR EACH 1 REP 1 COM NPV(SPONS)LEVEL II
|
64,700
|
Units
|
3,435,570
|
||||||
SCHLUMBERGER
COM USD0.01
|
38,500
|
Units
|
2,436,535
|
||||||
SCHOLASTIC
CORP COM STK USD0.01
|
20,100
|
Units
|
720,384
|
||||||
SCHWAB(CHARLES)CORP
COM STK USD0.01
|
179,300
|
Units
|
3,467,662
|
||||||
SCIENTIFIC
GAMES CLASS'A'COM USD0.01
|
13,100
|
Units
|
396,013
|
||||||
SCOTTS
MIRACLE-GRO CO CLASS'A'COM STK NPV
|
26,300
|
Units
|
1,358,395
|
||||||
SEACOAST
BANKING COM USD0.10
|
2,900
|
Units
|
72,384
|
||||||
SEALY
CORP COM STK USD0.01
|
42,000
|
Units
|
619,500
|
||||||
SEARS
HLDGS CORP COM STK USD0.01
|
4,000
|
Units
|
671,720
|
||||||
SEITEL
COM STK USD0.01(NEW)
|
195,400
|
Units
|
698,555
|
||||||
SEMPRA
ENERGY CORP COM STK NPV
|
34,400
|
Units
|
1,940,016
|
||||||
SERVICE
CORPORATION INTERNATIONAL COM STK USD1
|
45,500
|
Units
|
466,375
|
||||||
SHERWIN-WILLIAMS
CO COM STK USD1
|
4,800
|
Units
|
305,184
|
||||||
SIERRA
PACIFIC RESOURCES COM STK USD0.01
|
23,100
|
Units
|
388,773
|
||||||
SILGAN
HLDGS INC COM STK USD0.01
|
11,100
|
Units
|
487,512
|
||||||
SIMON
PROPERTY GROUP INC COM STK USD0.0001
|
8,300
|
Units
|
840,707
|
||||||
SINCLAIR
BROADCAST GROUP INC CLASS'A'COM STK USD0.01
|
53,300
|
Units
|
566,313
|
||||||
SKECHERS
USA INC CLASS'A'COM STK USD0.001
|
4,100
|
Units
|
136,571
|
||||||
SKYWEST
INC COM STK NPV
|
6,200
|
Units
|
158,348
|
||||||
SMART
& FINAL COM USD0.01
|
6,900
|
Units
|
130,410
|
||||||
SMITHFIELD
FOODS COM USD0.5
|
13,000
|
Units
|
333,580
|
||||||
SMUCKER(J.M.)CO
COM STK NPV
|
13,600
|
Units
|
659,192
|
||||||
SMURFIT-STONE
CONTAINER CORP COM STK USD0.01
|
29,700
|
Units
|
313,632
|
||||||
SONOCO
PRODUCTS CO COM STK NPV
|
42,300
|
Units
|
1,609,938
|
||||||
SOUTHWEST
BANCORP INC OKLAHOMA COM STK USD1
|
3,100
|
Units
|
86,622
|
||||||
SPARTECH
CORP COM STK USD0.75
|
7,800
|
Units
|
204,516
|
||||||
ST
MARY LAND & EXPLORATION COM STK USD0.01
|
5,700
|
Units
|
209,988
|
||||||
ST.JUDE
MEDICAL INC COM STK USD0.10
|
93,400
|
Units
|
3,414,704
|
||||||
STANCORP
FINANCIAL GROUP COM STK NPV
|
6,100
|
Units
|
274,805
|
||||||
STANDEX
INTERNATIONAL CORP COM STK USD1.5
|
15,500
|
Units
|
467,015
|
||||||
STANLEY
WORKS COM STK USD2.50
|
10,400
|
Units
|
523,016
|
||||||
STARBUCKS
CORP COM STK NPV
|
69,500
|
Units
|
2,461,690
|
||||||
STATOIL
ADR EACH REP 1 ORD NOK2.50 LVL111(BNY)
|
59,900
|
Units
|
1,576,568
|
||||||
STEEL
DYNAMICS INC COM STK USD0.01
|
12,900
|
Units
|
420,540
|
||||||
STEINER
LEISURE COM STK USD0.01
|
29,700
|
Units
|
1,351,350
|
||||||
STERIS
CORP COM STK NPV
|
8,100
|
Units
|
203,877
|
||||||
STILLWATER
MINING CO COM STK USD0.01
|
87,900
|
Units
|
1,097,871
|
||||||
SUNCOR
ENERGY COM STK NPV
|
24,300
|
Units
|
1,917,513
|
||||||
SUNOCO
INC COM STK USD1
|
47,400
|
Units
|
2,955,864
|
||||||
SWIFT
ENERGY CO COM STK USD0.01
|
13,100
|
Units
|
587,011
|
||||||
SY
BANCORP INC COM STK NPV
|
3,000
|
Units
|
84,450
|
||||||
SYBASE
INC COM STK USD0.001
|
14,300
|
Units
|
353,210
|
||||||
SYKES
ENTERPRISES INC COM STK USD0.01
|
11,800
|
Units
|
208,152
|
||||||
SYMMETRY
MEDICAL INC COM STK USD0.0001
|
28,900
|
Units
|
399,687
|
||||||
SYNIVERSE
HLDGS INC COM STK USD0.001
|
36,100
|
Units
|
541,139
|
||||||
TANGER
FACTORY OUTLET CENTERS COM STK USD0.01
|
10,100
|
Units
|
394,708
|
||||||
TARGET
CORP COM STK USD0.0833
|
54,200
|
Units
|
3,092,110
|
||||||
TAUBMAN
CENTRES INC COM STK USD0.01
|
4,700
|
Units
|
240,805
|
||||||
TECHNITROL
INC COM STK USD0.125
|
46,200
|
Units
|
1,103,718
|
||||||
TEKTRONIX
INC COM STK NPV
|
8,200
|
Units
|
239,194
|
||||||
TEMPLE-INLAND
INC COM STK USD1
|
18,400
|
Units
|
846,952
|
||||||
TEMPUR
PEDIC INTERNATIONAL INC COM STK USD0.01
|
26,100
|
Units
|
534,006
|
||||||
TENNECO
INC COM STK USD0.01
|
3,732
|
Units
|
92,255
|
||||||
TERADYNE
INC COM STK USD0.125
|
24,800
|
Units
|
371,008
|
||||||
TEREX
CORP COM STK USD0.01
|
27,300
|
Units
|
1,763,034
|
||||||
TESORO
CORP COM STK USD0.1666
|
23,100
|
Units
|
1,519,287
|
||||||
TETRA
TECH INC COM STK USD0.01
|
28,800
|
Units
|
520,992
|
||||||
THE
MOSAIC COMPANY
|
63,000
|
Units
|
1,345,680
|
||||||
THERAVANCE
INC COM STK USD1
|
30,300
|
Units
|
935,967
|
||||||
TJX
COS INC COM STK USD1
|
24,100
|
Units
|
687,332
|
||||||
TORCHMARK
CORP COM STK USD1
|
29,700
|
Units
|
1,893,672
|
||||||
TOTAL
S A SPONSORED ADR(CNV 1/2 SHS EUR10)
|
22,400
|
Units
|
1,611,008
|
||||||
TRIAD
HOSPITALS INC COM STK USD0.01
|
18,200
|
Units
|
761,306
|
||||||
TRIQUINT
SEMI CONDUCTOR INC COM STK USD0.001
|
181,900
|
Units
|
818,550
|
||||||
TRUSTMARK
CORP COM STK NPV
|
5,000
|
Units
|
163,550
|
||||||
TUPPERWARE
BRANDS CORP COM STK USD0.01
|
11,000
|
Units
|
251,196
|
||||||
TWEEN
BRANDS INC COM STK USD0.01
|
25,800
|
Units
|
1,030,194
|
||||||
TYCO
INTERNATIONAL LTD COM STK USD0.20
|
30,200
|
Units
|
921,100
|
||||||
UAP
HLDG CORP COM STK USD0.001
|
27,500
|
Units
|
692,450
|
||||||
UBS
AG CHF0.10
|
66,400
|
Units
|
4,005,912
|
||||||
UCBH
HLDGS INC COM STK USD0.01
|
9,500
|
Units
|
167,105
|
||||||
UNIFI
INC COM STK USD0.10
|
107,000
|
Units
|
262,150
|
||||||
UNITED
AMERICA INDEMNITY LTD COM STK
|
6,600
|
Units
|
167,178
|
||||||
UNITED
BANKSHARES INC COM STK USD2.50
|
6,400
|
Units
|
249,152
|
||||||
UNITED
FIRE & CASUALTY CO COM STK USD3.33 1/3
|
3,700
|
Units
|
130,925
|
||||||
UNITED
ONLINE INC COM STK USD0.001
|
33,200
|
Units
|
440,896
|
||||||
UNITED
RENTALS INC COM STK USD0.01
|
30,200
|
Units
|
767,986
|
||||||
UNITED
STATES CELLULAR CORP COM STK USD1
|
26,500
|
Units
|
1,844,135
|
||||||
UNITED
STATES STEEL CORP COM STK USD1
|
18,400
|
Units
|
1,345,776
|
||||||
UNITED
STATIONERS INC COM STK USD0.10
|
14,200
|
Units
|
662,998
|
||||||
UNITED
TECHNOLOGIES CORP COM STK USD1
|
44,700
|
Units
|
2,794,644
|
||||||
UNITEDHEALTH
GROUP INC COM STK USD0.01
|
26,800
|
Units
|
1,439,964
|
||||||
UNIVERSAL
COMPRESSION HLDS COM STK USD0.01
|
3,600
|
Units
|
223,596
|
||||||
UNIVERSAL
CORP COM STK NPV
|
3,300
|
Units
|
161,733
|
||||||
UNIVERSAL
TECHNICAL INSTITUTE COM STK USD0.0001
|
23,700
|
Units
|
526,377
|
||||||
URS
CORP COM STK USD0.01
|
53,000
|
Units
|
2,271,050
|
||||||
VALASSIS
COMMUNICATIONS INC COM STK USD0.01
|
26,100
|
Units
|
378,450
|
||||||
VALSPAR
CORP COM STK USD0.50
|
49,900
|
Units
|
1,385,723
|
||||||
VARIAN
SEMICONDUCT EQUIP ASSOC INC COM STK USD1
|
35,500
|
Units
|
1,615,960
|
||||||
VECTREN
CORP COM NPV
|
21,200
|
Units
|
599,536
|
||||||
VERIGY
LTD COM NPV
|
13,700
|
Units
|
243,175
|
||||||
VERITAS
DGC INC COM STK USD0.01
|
2,200
|
Units
|
188,386
|
||||||
VF
CORP COM STK NPV
|
20,800
|
Units
|
1,707,264
|
||||||
VIAD
CORP COM STOCK USD1.5
|
9,900
|
Units
|
402,336
|
||||||
VISHAY
INTL USD0.10
|
107,100
|
Units
|
1,450,134
|
||||||
VULCAN
MATERIALS CO COM STK USD1
|
4,500
|
Units
|
404,415
|
||||||
WALT
DISNEY CO. DISNEY COM USD0.01
|
148,400
|
Units
|
5,132,261
|
||||||
WARNACO
GROUP INC CLS'A'COM STK USD0.01
|
26,400
|
Units
|
670,032
|
||||||
WASHINGTON
GROUP INTERNATIONAL INC COM STK USD0.01
|
15,900
|
Units
|
950,661
|
||||||
WASHINGTON
MUTUAL INC COM STK NPV
|
41,900
|
Units
|
1,906,031
|
||||||
WATERS
CORP COM STK USD0.01
|
30,500
|
Units
|
1,493,585
|
||||||
WATSON
WYATT WORLDWIDE INC CLASS'A'COM STK USD0.01
|
15,900
|
Units
|
719,078
|
||||||
WAUSAU
PAPER CORP COM STK NPV
|
12,200
|
Units
|
182,878
|
||||||
WELLPOINT
INC COM STK USD0.01
|
61,000
|
Units
|
4,800,090
|
||||||
WERNER
ENTERPRISES INC COM STK USD0.01
|
73,400
|
Units
|
1,283,032
|
||||||
WEST
COAST BANCORP ORE COM STK USD0.01
|
4,000
|
Units
|
138,560
|
||||||
WESTAMERICA
BANCORP COM STK NPV
|
2,400
|
Units
|
121,512
|
||||||
WEYERHAEUSER
CO COM STK USD1.25
|
6,200
|
Units
|
438,030
|
||||||
WHIRLPOOL
CORP COM STK USD1
|
11,600
|
Units
|
963,032
|
||||||
WHOLE
FOODS MARKET INC COM STK NPV
|
64,000
|
Units
|
3,003,520
|
||||||
WILLIAMS-SONOMA
INC COM STK USD0.01
|
13,500
|
Units
|
424,440
|
||||||
WILLIS
GROUP HOLDINGS COM STK USD0.000115
|
10,200
|
Units
|
407,439
|
||||||
WINNEBAGO
INDUSTRIES INC COM STK USD0.50
|
26,000
|
Units
|
858,330
|
||||||
WSFS
FINANCIAL CORP COM STK USD0.01
|
1,900
|
Units
|
127,167
|
||||||
WYETH
COM USD0.333
|
57,900
|
Units
|
2,948,268
|
||||||
XEROX
CORP COM STK USD1
|
53,500
|
Units
|
906,825
|
||||||
XM
SATELLITE RADIO HLDGS CLASS'A'COM STK USD0.01
|
73,700
|
Units
|
1,064,965
|
||||||
ZALE
CORP COM STK USD0.01
|
28,500
|
Units
|
803,985
|
||||||
ZUMIEZ
INC COM STK NPV
|
20,500
|
Units
|
605,570
|
||||||
ABBOTT
LABS COM NPV
|
800
|
Units
|
39,171
|
||||||
ADOBE
SYSTEMS INC COM STK USD0.0001
|
1,800
|
Units
|
74,784
|
||||||
AGILENT
TECHNOLOGIES INC COM STK USD0.01
|
700
|
Units
|
24,311
|
||||||
ALCON
INC CHF0.20
|
500
|
Units
|
56,354
|
||||||
AMEDISYS
INC COM STK USD0.001
|
2,100
|
Units
|
70,157
|
||||||
AMER
INTL GRP COM USD2.50
|
1,200
|
Units
|
86,293
|
||||||
AMERICAN
EXPRESS CO COM USD0.20
|
600
|
Units
|
36,682
|
||||||
AMGEN
INC COM USD0.0001
|
300
|
Units
|
20,431
|
||||||
APPLE
INC COM STK NPV
|
700
|
Units
|
56,134
|
||||||
ATWOOD
OCEANICS INC COM STK USD1
|
(1,000 | ) |
Units
|
(49,204 | ) | ||||
BOEING
CO COM STK USD5
|
600
|
Units
|
53,180
|
||||||
BORG-WARNER
INC COM STK USD0.01
|
(2,865 | ) |
Units
|
(169,792 | ) | ||||
BROADCOM
CORP CLASS'A'COM STK USD0.0001
|
900
|
Units
|
28,991
|
||||||
CAREMARK
RX INC COM STK USD0.001
|
12,700
|
Units
|
723,597
|
||||||
CIGNA
CORP COM STK USD0.25
|
100
|
Units
|
13,230
|
||||||
CISCO
SYSTEMS COM USD0.001
|
2,900
|
Units
|
79,676
|
||||||
COACH
INC COM STK USD0.01
|
1,200
|
Units
|
52,126
|
||||||
COLDWATER
CREEK COM STK USD0.01
|
(3,500 | ) |
Units
|
(86,903 | ) | ||||
COMTECH
TELECOMMUNICATIONS COM STK USD0.10
|
(1,216 | ) |
Units
|
(46,886 | ) | ||||
CORNING
INC COM STK USD0.50
|
1,000
|
Units
|
18,739
|
||||||
ELECTRONIC
ARTS COM USD0.01
|
800
|
Units
|
40,532
|
||||||
EXPEDIA
INC COM STK USD0.001
|
5,600
|
Units
|
117,621
|
||||||
EXPRESS
SCRIPTS IN COM USD0.01
|
3,200
|
Units
|
231,941
|
||||||
FOUNDRY
NETWORKS INC COM STK USD0.0001
|
(1,000 | ) |
Units
|
(15,040 | ) | ||||
GENENTECH
INC COM USD0.02
|
600
|
Units
|
48,041
|
||||||
GENERAL
ELECTRIC CO. COM STK USD0.06
|
1,500
|
Units
|
56,181
|
||||||
GILEAD
SCIENCES COM USD0.001
|
1,000
|
Units
|
64,902
|
||||||
GOLDMAN
SACHS GROUP INC COM STK USD0.01
|
200
|
Units
|
40,111
|
||||||
GOOGLE
INC COM STK USD0.001 CLS'A'
|
200
|
Units
|
92,794
|
||||||
HOSPIRA
INC COM STK USD0.01
|
(1,800 | ) |
Units
|
(60,715 | ) | ||||
INFOSYS
TECHNOLOGIES ADR EACH REPR 1ORD INR5
|
300
|
Units
|
16,428
|
||||||
INTEGRATED
ALARM SERVICES GROUP INC COM STK
|
17,700
|
Units
|
57,122
|
||||||
INTERCONTINENTAL
EXCHANGE INC COM STK USD0.01
|
200
|
Units
|
21,669
|
||||||
INTERNATIONAL
GAME TECHNOLOGY COM STK USD0.000625
|
200
|
Units
|
9,216
|
||||||
LANCE
INC COM STK USD0.833
|
(2,103 | ) |
Units
|
(42,762 | ) | ||||
LOWE'S
COS INC COM STK USD0.50
|
800
|
Units
|
24,862
|
||||||
MACY'S
INC COM STK USD0.01
|
600
|
Units
|
22,835
|
||||||
MARRIOTT
INTERNATIONAL INC COM STK USD0.01 CL'A'
|
800
|
Units
|
38,470
|
||||||
MARVELL
TECH GROUP COM NPV
|
2,300
|
Units
|
44,016
|
||||||
MERRILL
LYNCH & CO INC COM STK USD1.333
|
500
|
Units
|
46,696
|
||||||
MICROSOFT
CORP COM USD0.0000125
|
2,700
|
Units
|
80,743
|
||||||
MONSANTO
CO NEW(DELAWARE) COM STK USD0.01
|
200
|
Units
|
10,580
|
||||||
MORGAN
STANLEY BDS 18/OCT/2016 USD100000
|
(10,000 | ) |
Units
|
(10,036 | ) | ||||
MOTOROLA
INC COM STK USD3
|
1,300
|
Units
|
26,737
|
||||||
NEWS
CORP CLASS'A'NON VTG COM STKUSD0.01
|
1,700
|
Units
|
36,868
|
||||||
NII
HOLDINGS INC COM STK USD0.001
|
400
|
Units
|
25,532
|
||||||
NIKE
INC CLASS'B'COM STK NPV
|
500
|
Units
|
49,723
|
||||||
NOVARTIS
AG ADR EACH REPR 1 CHF0.50(REGD)
|
800
|
Units
|
46,212
|
||||||
NUVEEN
INVESTMENTS CLASS'A'COM USD0.01
|
(500 | ) |
Units
|
(26,318 | ) | ||||
NYSE
GROUP INC COM STK USD0.01
|
300
|
Units
|
29,029
|
||||||
OCCIDENTAL
PETROLEUM CORP COM USD0.20
|
500
|
Units
|
24,545
|
||||||
OXFORD
INDUSTRIES INC COM STK USD1
|
600
|
Units
|
29,814
|
||||||
PEPSICO
INC CAP USD0.016666
|
900
|
Units
|
56,595
|
||||||
PRICELINE.COM
INC COM STK USD0.008
|
(1,800 | ) |
Units
|
(78,695 | ) | ||||
PROCTER
& GAMBLE CO COM STK NPV
|
600
|
Units
|
38,611
|
||||||
QUALCOMM
INC COM STK USD0.0001
|
1,600
|
Units
|
60,454
|
||||||
RARE
HOSPITALITY INC COM STK NPV
|
1,700
|
Units
|
56,111
|
||||||
RESEARCH
IN MOTION COM NPV
|
300
|
Units
|
38,798
|
||||||
RESOURCES
CONNECTION INC COM STK USD0.01
|
1,300
|
Units
|
42,160
|
||||||
ROCHE
HLDG AG ADR-REPR GENUS PTG CERT NPV
|
800
|
Units
|
71,862
|
||||||
SANDISK
CORP COM STK USD0.001
|
(1,000 | ) |
Units
|
(43,190 | ) | ||||
SAP
AG ADR EACH 1 REP 1 COM NPV(SPONS)LEVEL II
|
600
|
Units
|
31,850
|
||||||
SCHLUMBERGER
COM USD0.01
|
500
|
Units
|
31,809
|
||||||
SCHWAB(CHARLES)CORP
COM STK USD0.01
|
2,400
|
Units
|
46,487
|
||||||
ST.JUDE
MEDICAL INC COM STK USD0.10
|
1,200
|
Units
|
43,925
|
||||||
STARBUCKS
CORP COM STK NPV
|
800
|
Units
|
28,527
|
||||||
SUNCOR
ENERGY COM STK NPV
|
300
|
Units
|
23,568
|
||||||
TARGET
CORP COM STK USD0.0833
|
700
|
Units
|
39,947
|
||||||
UBS
AG CHF0.80
|
800
|
Units
|
48,451
|
||||||
UNITED
TECHNOLOGIES CORP COM STK USD1
|
500
|
Units
|
31,317
|
||||||
VARIAN
SEMICONDUCT EQUIP ASSOC INC COM STK USD1
|
3,100
|
Units
|
142,537
|
||||||
VERIGY
LTD COM NPV
|
0
|
Units
|
0
|
||||||
WALT
DISNEY CO. DISNEY COM USD0.01
|
1,900
|
Units
|
65,901
|
||||||
WHOLE
FOODS MARKET INC COM STK NPV
|
800
|
Units
|
37,515
|
||||||
WILLIAMS-SONOMA
INC COM STK USD0.01
|
3,600
|
Units
|
115,139
|
||||||
WYETH
COM USD0.333
|
700
|
Units
|
35,854
|
||||||
Total
Corporate Stock
|
$ |
664,080,967
|
|||||||
Corporate
Debt Securities
|
|||||||||
AIFUL
CORPORATION 5% DUE 10/AUG/2005
|
70,000
|
Units
|
69,299
|
||||||
ALTERNATIVE
LOAN TRUST 2006-OA 4-A-1 VARIABLE 5-Aug-46
|
383,443
|
Units
|
383,907
|
||||||
ALTRIA
GROUP INC 7.00% 04/NOV/2013
|
200,000
|
Units
|
219,520
|
||||||
AMERICAN
HOME MORTGAGE ASSETS TRUST 2006-2 2A1 VARIABLE 25/SEP/2046
|
372,607
|
Units
|
373,388
|
||||||
AMERICAN
HOME MORTGAGE ASSETS TRUST 2006-3 3A12 VAR 25/OCT/2046
|
361,388
|
Units
|
359,990
|
||||||
AMERICAN
HOME MORTGAGE ASSETS TRUST 2006-4 I A-1- VARIABLE
25/OCT/2046
|
393,961
|
Units
|
394,959
|
||||||
ANADARKO
FINANCE CORP 7.5% BDS 01/MAY/2031 USD1000
|
120,000
|
Units
|
137,654
|
||||||
ANADARKO
PETROLEUM CORP 5.79% SR FLTG RATE NTS 15/SEP/2009 USD1000
|
110,000
|
Units
|
110,748
|
||||||
ANADARKO
PETROLEUM CORP 5.95% SNR NTS 15/SEP/2016 USD1000
|
70,000
|
Units
|
71,327
|
||||||
ANADARKO
PETROLEUM CORP 6.45% SNR NTS 15/SEP/2036 USD1000
|
110,000
|
Units
|
113,165
|
||||||
AOL
TIME WARNER INC 6.875% NTS 01/MAY/2012 USD1000
|
100,000
|
Units
|
106,821
|
||||||
AOL
TIME WARNER INC 7.7% BDS 01/MAY/2032 USD1000
|
30,000
|
Units
|
34,234
|
||||||
BANC
OF AMERICA COMMERCIAL MORTGAGE TRUST 2006-3 A-4 VARIABLE
10/JUL/2044
|
430,000
|
Units
|
449,104
|
||||||
BANC
OF AMERICA FUNDING 2006-E TRUST 2006-E 2-A-1 VARIABLE
20/JUN/2036
|
269,964
|
Units
|
273,235
|
||||||
BANC
OF AMERICA FUNDING 2006-G TRUST 2006-G 2-A-2 VARIABLE
20/JUL/2036
|
356,494
|
Units
|
356,596
|
||||||
BANK
OF AMERICA CORP 5.375% BDS 15/AUG/2011 USD1000
|
90,000
|
Units
|
92,463
|
||||||
BAYVIEWW
2003 LJ1 A4 3.44% DUE 25-APRL-12
|
108,346
|
Units
|
106,101
|
||||||
BEAR
STEARNS ALT-A TR 2004-11 MTG PASSTHRU CTF CL II-A-2
|
363,507
|
Units
|
371,302
|
||||||
BEAR
STEARNS SECURITIES TRUST 01-3 A-1 VARIABLE 25-Oct-32
|
14,734
|
Units
|
14,815
|
||||||
C-BASS
MORTGAGE LOAN ASSET BACKED CERTIFICATES 2006-MH AF-3 1 VARIABLE
25/OCT/2036
|
100,000
|
Units
|
101,271
|
||||||
CE
ELEC UK FDG CO SRNT144A6.995% 30/DEC/2007
|
250,000
|
Units
|
253,313
|
||||||
CITIGROUP
INC 4.125% 22/FEB/2010
|
310,000
|
Units
|
305,297
|
||||||
CLEAR
CHANNEL COMMUNICATIONS INC 6.25% BDS 15/MAR/2011 USD1000
|
80,000
|
Units
|
79,218
|
||||||
COMCAST
CORP 6.5% BDS 15/JAN/2017 USD1000
|
90,000
|
Units
|
96,631
|
||||||
COMCAST
CORP 6.50 15/JAN/2015
|
210,000
|
Units
|
225,099
|
||||||
COMM
2006-C8 A-4 5.306% 10/DEC/2046
|
310,000
|
Units
|
309,872
|
||||||
COMMERCIAL
MORTGAGE ACCEPTANCE CORP. 97- ML1 A-4 6.735%
15/DEC/2030
|
303,920
|
Units
|
307,136
|
||||||
CONOCO
INC 6.95% SNR NTS 15/APR/2029 USD1000
|
280,000
|
Units
|
322,154
|
||||||
COUNTRYWIDE
ALTERNATIVE LOAN TRUST SER#2005-59 FLTG RTE DUE
20/NOV/2035
|
324,919
|
Units
|
326,609
|
||||||
COUNTRYWIDE
HOME EQUITY LOAN TRUST 2004-R CL 2A
|
313,284
|
Units
|
315,348
|
||||||
CREDIT
SUISSE COMMERCIAL MTG TRUST 5.467% CMO 15/SEP/2039 USD1000
CL'A3'
|
360,000
|
Units
|
364,411
|
||||||
CREDIT
SUISSE WARBURG PINCUS TRUST 5.5% NTS 16/AUG/2011
USD1000
|
40,000
|
Units
|
41,261
|
||||||
CSMC
TRUST 2006-CF2 VAR 25/MAY/2036
|
296,721
|
Units
|
297,277
|
||||||
CWABS
ASSET-BACKED NOTE TRUST 2006-SD A-1 14 VARIABLE
25/JUL/2036
|
354,434
|
Units
|
355,877
|
||||||
CWALT
ALTERNATIVE LN TR SER 2006 OA FR CMO 20/DEC/2046 USD1000
'1-A1-A
|
395,403
|
Units
|
395,741
|
||||||
CWALT
INC 12667GPB3 20/JUL/2035
|
333,333
|
Units
|
334,735
|
||||||
CWALT
INC 2005-44 MTG PASSTHRU CTF 1A1 FLT
|
562,802
|
Units
|
564,273
|
||||||
CWHEQ
REVOLVING HOME EQUITY LOAN RESECURITIZATION TRUST 2006-RE 04-F-1
VARIABLE 15/MAY/2034
|
317,319
|
Units
|
318,170
|
||||||
CWMBS
INC 12669GUX7 25/MAR/2035
|
283,394
|
Units
|
284,259
|
||||||
CWMBS,
INC. 2003-60 DUE 25/FEB/2034
|
368,066
|
Units
|
368,231
|
||||||
DAIMLERCHRYSLER
NA HLDGS 5.875% BDS 15/MAR/2011 USD100000
|
170,000
|
Units
|
173,581
|
||||||
DEUTSCHE
TELEKOM INTL FINANCE B.V. 5.75% BDS 23/MAR/2016
USD1000
|
70,000
|
Units
|
70,067
|
||||||
DEVON
ENERGY CORP 7.95% SR DEB 15/APR/2032 USD
|
120,000
|
Units
|
148,101
|
||||||
DOMINION
RESOURCES INC 5.7% 17/SEP/2012
|
130,000
|
Units
|
133,614
|
||||||
DRIVE
AUTO RECEIVABLES TRUST 2006-2 A-3 14 5.330% 15-Apr-14
|
320,000
|
Units
|
322,758
|
||||||
DUKE
ENERGY CORP 5.625% DUE 30/NOV/2012
|
170,000
|
Units
|
173,893
|
||||||
EXELON
CORP 5.625% BDS 15/JUN/2035 USD1000
|
120,000
|
Units
|
113,335
|
||||||
FIRSTENERGY
CORP 6.45% BDS 15/NOV/2011 USD1000
|
80,000
|
Units
|
84,084
|
||||||
FIRSTENERGY
CORP 7.375% BDS 15/NOV/2031 USD1000
|
200,000
|
Units
|
229,652
|
||||||
GENERAL
ELECT CAP CORP 4.125% 01/SEP/2009
|
310,000
|
Units
|
306,512
|
||||||
GLITNIR
BANKI HF 6.33% NTS 28/JUL/2011 USD1000 144A'
|
150,000
|
Units
|
158,057
|
||||||
GOLDMAN
SACHS GROUP LP 4.500 15JNE15/JUN/2010
|
110,000
|
Units
|
107,881
|
||||||
GREENPOINT
MORTGAGE FUNDING TRUST 2006-AR 1- A1A VARIABLE
25/OCT/2046
|
395,149
|
Units
|
395,607
|
||||||
GREENPOINT
MORTGAGE FUNDING TRUST 2006-AR A1-A VARIABLE
25/SEP/2046
|
383,066
|
Units
|
383,243
|
||||||
GSAA
HOME EQUITY TRUST SER 2005-5 CL A4
|
400,000
|
Units
|
401,651
|
||||||
HARBORVIEW
MORTGAGE LOAN TRUST 2006-7 2A-1A VARIABLE 19/SEP/2036
|
358,082
|
Units
|
358,801
|
||||||
HARBORVIEW
MORTGAGE LOAN TRUST 2006-9 2A1A VAR 19-Nov-36
|
390,721
|
Units
|
392,273
|
||||||
HOUSEHOLD
FINANCE CORP 4.625% DUE 15/JAN/2008
|
300,000
|
Units
|
304,391
|
||||||
HYPOTHEKENBANK
IN ESSEN 5% MTN 20/JAN/2012 USD1000 144A'
|
10,000
|
Units
|
10,018
|
||||||
IMPAC
CMB TRUST SER 2003-12 CL A1
|
105,953
|
Units
|
106,101
|
||||||
IMPERIAL
CMB TRUST SERIES 2003-4 DUE 25FEB25/FEB/2033
|
13,744
|
Units
|
13,761
|
||||||
IXIS
REAL ESTATE CAPITAL TRUST 2006-HE A-1 VARIABLE 25/AUG/2036
|
240,575
|
Units
|
240,796
|
||||||
JPMORGAN
CHASE & CO 5.125% 15/SEP/2014
|
410,000
|
Units
|
409,347
|
||||||
KERR
MCGEE CORP 6.95% 01/JUL/2024
|
30,000
|
Units
|
32,993
|
||||||
KINDER
MORGAN ENER PART
|
70,000
|
Units
|
66,684
|
||||||
KONINKLIJKE
KPN NV 8% BDS 01/OCT/2010 USD1000
|
120,000
|
Units
|
131,878
|
||||||
LANDSBANKI
ISLAND 6.1% NTS 25/AUG/2011 USD1000 144A'
|
150,000
|
Units
|
155,703
|
||||||
LEHMAN
BROTHERS HOLDINGS 4.00% DUE 22/JAN/2008
|
130,000
|
Units
|
130,506
|
||||||
LEHMAN
XS TRUST 2006-14 1-A1B VARIABLE 25/SEP/2046
|
392,681
|
Units
|
393,333
|
||||||
LEHMAN
XS TRUST 2006-GP 3-A1A VAR 25/AUG/2046
|
376,891
|
Units
|
376,938
|
||||||
MERRILL
LYNCH MORTGAGE TRUST 2006-C1 A-4 VARIABLE 12-May-39
|
400,000
|
Units
|
413,514
|
||||||
METLIFE
INC BDS 15/DEC/2066 USD1000
|
90,000
|
Units
|
90,589
|
||||||
MORGAN
STANLEY 3.625% 01/APR/2008
|
40,000
|
Units
|
39,553
|
||||||
MORGAN
STANLEY 5.625% BDS 09/JAN/2012 USD1000
|
130,000
|
Units
|
135,027
|
||||||
MORGAN
STANLEY BDS 18/OCT/2016 USD100000
|
30,000
|
Units
|
30,398
|
||||||
MORGAN
STANLEY MORTGAGE LOAN TRUST 4.215% CMO 25/AUG/2034 USD
|
88,825
|
Units
|
88,953
|
||||||
NELNET
STUDENT LN TR 2005-2 A2
|
219,968
|
Units
|
219,831
|
||||||
NEWS
AMERICA INC 6.2% BDS 15/DEC/2034 USD1000
|
50,000
|
Units
|
48,399
|
||||||
ONCOR
ELECTRIC DELIVERY CO 6.375% NTS 15/JAN/2015 USD1000
|
10,000
|
Units
|
10,602
|
||||||
PACIFIC
GAS & ELECTRIC 6.05% 01/MAR/2034
|
90,000
|
Units
|
92,587
|
||||||
PETROBRAS
INTERNATIONAL FINANCE 6.125% NTS 06/OCT/2016 USD1000
|
90,000
|
Units
|
92,202
|
||||||
RESIDENTIAL
CAPITAL CORP 6% BDS 22/FEB/2011 USD1000
|
440,000
|
Units
|
448,628
|
||||||
RESONA
PFD GLOBAL SECS VAR PERP 144A
|
60,000
|
Units
|
64,438
|
||||||
SHINSEI
FIN CAYMAN LTD 6.418%/FR PRF SEC 29/1/49 USD1000'144A'
|
110,000
|
Units
|
113,064
|
||||||
SIERRA
TIMESHARE RECEIVABLES FUNDING LLC 2006-1 A-2 14 VARIABLE
20/MAY/2018
|
294,648
|
Units
|
295,119
|
||||||
SMFG
PREFERRED CAPITAL VAR BDS PERPETUAL USD100000 144A'
|
100,000
|
Units
|
99,489
|
||||||
SPRINT
CAP CORP NT 8.375% DUE 15/MAR/2012
|
190,000
|
Units
|
215,848
|
||||||
SPRINT
CAP CORP NT 8.75% 15/MAR/2032 UNRESTRICTED
|
20,000
|
Units
|
24,588
|
||||||
SPRINT
NEXTEL CORP 6% NTS 01/DEC/2016 USD1000
|
70,000
|
Units
|
68,702
|
||||||
STRUCTURED
ASSET MORTGAGE INVESTMENTS II TRUST 2006-AR I-A-3 VARIABLE
25/JUL/2036
|
369,204
|
Units
|
370,256
|
||||||
STRUCTURED
ASSET MORTGAGE INVESTMENTS INC 2006-AR7 A1A VAR
25/AUG/2036
|
386,069
|
Units
|
387,180
|
||||||
SUNTRUST
CAPITAL VIII 6.1% NTS 15/12/36 USD1000
|
120,000
|
Units
|
117,250
|
||||||
TELECOM
ITALIA CAPITAL 5.25% 01OCT20015
|
70,000
|
Units
|
66,306
|
||||||
TERWIN
MORTGAGE TRUST TMTS 20 AF-3 VARIABLE 25-Jul-36
|
200,000
|
Units
|
197,716
|
||||||
THORNBURG
MORTGAGE SECURITIES TRUST 2005-2 A4 FLT 25-Jul-45
|
352,688
|
Units
|
353,023
|
||||||
THORNBURG
MORTGAGE SECURITIES TRUST 2005-4 A-3 VARIABLE 25/DEC/2035
|
374,413
|
Units
|
374,471
|
||||||
THORNBURG
MORTGAGE SECURTIES TRUST SERIES 2005-2 CL A3 VAR
25/JUL/2045
|
339,108
|
Units
|
339,528
|
||||||
TXU
CORP 5.55% SNR NTS 15/NOV/2014 USD1000 SER'P'
|
30,000
|
Units
|
28,693
|
||||||
TYCO
INTERNATIONAL 6% NTS 15/NOV/2013 USD1000
|
220,000
|
Units
|
229,315
|
||||||
VALE
OVERSEAS LTD 6.875% NTS 21/NOV/2036 USD1000
|
110,000
|
Units
|
113,661
|
||||||
VERIZON
GLOBAL FUNDING CORP 7.375% BDS 01/SEP/2012 USD1000
|
40,000
|
Units
|
44,716
|
||||||
VIACOM
INC 5.75% 30/APR/2011
|
40,000
|
Units
|
40,410
|
||||||
WACHOVIA
CORPORATION 5.25% 01/AUG/2014
|
290,000
|
Units
|
292,811
|
||||||
WACHOVIA
MTG LN TR 2005-A 1-A-1 20/SEP/2035 FLT
|
336,283
|
Units
|
333,246
|
||||||
WAMU
MORTGAGE PASS-THROUGH CERTIFICATES 2005-AR A-1A2 VARIABLE
25/DEC/2045
|
288,544
|
Units
|
289,927
|
||||||
WAMU
MORTGAGE PASS-THROUGH CERTIFICATES 2005-AR A-1A2 VARIABLE
25/DEC/2045
|
257,233
|
Units
|
258,217
|
||||||
WAMU
MORTGAGE PASS-THROUGH CERTIFICATES 2006-AR 1-A1 VARIABLE
25/SEP/2036
|
182,929
|
Units
|
185,415
|
||||||
WAMU
MORTGAGE PASS-THROUGH TRUST 2005 AR14 1A1
|
161,113
|
Units
|
160,182
|
||||||
WASTE
MGMT INC DEL SR NT 6.375% 15/NOV/2012
|
130,000
|
Units
|
137,198
|
||||||
WELLS
FARGO CAPITAL VAR BDS 01/DEC/2086 USD100000
|
100,000
|
Units
|
98,450
|
||||||
WELLS
FARGO MORTGAGE BACKED SECURITIES TRUST 2006-AR II-A-3 VARIABLE
25/APR/2036
|
338,779
|
Units
|
337,712
|
||||||
WEYERHAEUSER
CO 6.75% NTS 15/MAR/2012 USD1000
|
250,000
|
Units
|
267,160
|
||||||
Total
Corporate Debt Securities
|
$ |
23,944,744
|
|||||||
Government
Bonds
|
|||||||||
UNITED
MEXICAN STATES 7.5% 08APR08/APR/2033
|
277,000
|
Units
|
331,650
|
||||||
UNITED
STATES OF AMER TREAS BONDS 2% BDS 15/JAN/2026 USD1000
|
80,000
|
Units
|
77,296
|
||||||
UNITED
STATES OF AMER TREAS BONDS 4.5% BDS 15/FEB/2036
USD1000
|
380,000
|
Units
|
367,815
|
||||||
UNITED
STATES OF AMER TREAS NOTES 2.375% NTS 15/APR/2011
USD1000
|
1,150,000
|
Units
|
1,171,091
|
||||||
UNITED
STATES OF AMER TREAS NOTES 3.875% TIPS 15/JAN/2009
USD1000
|
20,000
|
Units
|
25,744
|
||||||
UNITED
STATES OF AMER TREAS NOTES 4.625% TB 31/OCT/2011 USD1000 SER
'P'
|
1,150,000
|
Units
|
1,154,932
|
||||||
UNITED
STATES OF AMER TREAS NOTES 4.625% TB 'R' 31/DEC/2011
USD1000
|
770,000
|
Units
|
767,414
|
||||||
UNITED
STATES OF AMER TREAS NOTES 5.125% NTS 15/MAY/2016
USD1000
|
30,000
|
Units
|
31,101
|
||||||
UNITED
STATES OF AMER TREAS NOTES FLT TIPS 15/APR/2029
USD1000
|
80,000
|
Units
|
124,546
|
||||||
UNITED
STATES OF AMER TREAS NOTES INFL I/L NTS 15/JUL/2015
USD1000
|
40,000
|
Units
|
40,153
|
||||||
UNITED
STATES OF AMERICA TREASURY BONDS VAR 15-Jul-16
|
190,000
|
Units
|
193,610
|
||||||
UNITED
STATES TREAS NTS 04.875% 30/APR/2011
|
2,200,000
|
Units
|
2,232,634
|
||||||
USA
TREASURY NTS 4.875% T-NTS 15/AUG/2016 USD
|
30,000
|
Units
|
30,911
|
||||||
USA
TREASURY NTS VAR TIPS 15/APR/2010 USD1000
|
230,000
|
Units
|
232,853
|
||||||
US
TREASURY NOTE - 4.625%, 2/28.2008 (912828EY)
|
2,020,000
|
Units
|
2,011,478
|
||||||
UNITED
STATES OF AMER TREAS NOTES 4.625% TB 'R'
|
(770,000 | ) |
Units
|
(768,123 | ) | ||||
Total
Government Bonds
|
$ |
8,025,105
|
|||||||
Mortgage
Backed Securities
|
|||||||||
FEDERAL
HOME LN MTG CORP MTN CALL 5.5%11/DEC/2008
|
60,000
|
Units
|
60,147
|
||||||
FEDERAL
HOME LOAN BANKS 4.875% BDS 18/NOV/2011 USD10000
|
140,000
|
Units
|
140,581
|
||||||
FEDERAL
HOME LOAN BANKS 5.4% BDS 02/JAN/2009 USD10000
|
90,000
|
Units
|
89,865
|
||||||
FEDERAL
HOME LOAN MTG CORP
|
90,000
|
Units
|
86,545
|
||||||
FEDERAL
NATL MTG ASSN DISC NT MATURES 25/JUN/2007
|
350,000
|
Units
|
341,537
|
||||||
FEDERAL
NATIONAL MORTGAGE ASSOC 5.4% NTS 13/APR/2009 USD1000
|
20,000
|
Units
|
20,230
|
||||||
FEDERAL
NATIONAL MORTGAGE ASSOC 6% MTG BCKD P/THRU 15/1/34
USD1000
|
3,950,000
|
Units
|
3,975,920
|
||||||
FEDERAL
NATIONAL MORTGAGE ASSOC 6.5% MTG BKD P/THRU 15/1/32
USD1000
|
1,780,000
|
Units
|
1,813,375
|
||||||
FNMA
TBA 15YR TBA 05.000% JAN
|
1,000,000
|
Units
|
982,812
|
||||||
FNMA
TBA 5.5% MBPT 15/1/19 USD1000
|
2,000,000
|
Units
|
1,999,376
|
||||||
FNMA
TBA SF 5.0 30 YR JAN
|
8,200,000
|
Units
|
7,915,558
|
||||||
RUSSIAN
FEDERATION VAR BDS 31/MAR/2030 USD REGS
|
300,000
|
Units
|
344,137
|
||||||
TBA
FNMA SF 5.50 30 YRS JAN
|
2,100,000
|
Units
|
2,075,063
|
||||||
TBA
GNMA 5.50 30 YR JAN
|
950,000
|
Units
|
945,250
|
||||||
TBA
GNMA I SF 6.00 30 YRS JAN
|
2,100,000
|
Units
|
2,128,875
|
||||||
FEDERAL
HOME LOAN BANKS 5.4% BDS 02/JAN/2009
|
(90,000 | ) |
Units
|
(89,982 | ) | ||||
FEDERAL
NATIONAL MORTGAGE ASSOC 6% MTG BCKD P/THRU
|
(3,950,000 | ) |
Units
|
(3,987,016 | ) | ||||
FEDERAL
NATIONAL MORTGAGE ASSOC 6.5% MTG BKD
|
(1,780,000 | ) |
Units
|
(1,817,215 | ) | ||||
FNMA
TBA 15YR TBA 05.000% JAN
|
(1,000,000 | ) |
Units
|
(992,344 | ) | ||||
FNMA
TBA 5.5% MBPT 15/1/19 USD1000
|
(2,000,000 | ) |
Units
|
(2,013,047 | ) | ||||
FNMA
TBA SF 5.0 30 YR JAN
|
(8,200,000 | ) |
Units
|
(8,006,941 | ) | ||||
TBA
FNMA SF 5.50 30 YRS JAN
|
(2,100,000 | ) |
Units
|
(2,084,992 | ) | ||||
TBA
GNMA 5.50 30 YR JAN
|
(950,000 | ) |
Units
|
(950,742 | ) | ||||
TBA
GNMA I SF 6.00 30 YRS JAN
|
(2,100,000 | ) |
Units
|
(2,135,557 | ) | ||||
Total
Mortgage Backed Securities
|
$ |
841,435
|
|||||||
Registered
Investment Companies
|
|||||||||
AIM
ENERGY CLASS B
|
117
|
Units
|
4,298
|
||||||
AIM
HIGH YIELD INVESTOR CLASS
|
7,857
|
Units
|
35,513
|
||||||
AIM
INTERNATIONAL CORE EQUITY INV CL
|
4,533
|
Units
|
66,492
|
||||||
AIM
LEISURE INVESTOR CLASS
|
108
|
Units
|
5,141
|
||||||
ALLIANCEBER
GLOBAL GOV'T INCOME TR CL A
|
4,347
|
Units
|
33,690
|
||||||
ALLIANCEBER
INTL VALUE ADVISOR
|
1,683
|
Units
|
38,260
|
||||||
ALLIANZ
NFJ DIVIDEND VALUE FD CL D
|
1,957
|
Units
|
33,382
|
||||||
ALPINE
DYNAMIC DIVID FUND
|
2,428
|
Units
|
31,421
|
||||||
ALPINE
INTERNATIONAL REAL ESTATE EQUITY Y
|
1,871
|
Units
|
76,193
|
||||||
ALPINE
REALTY INCOME & GROWTH Y
|
627
|
Units
|
17,168
|
||||||
AMANA
MUTUAL FUND TRUST GROWTH
|
2,087
|
Units
|
43,148
|
||||||
AMANA
MUTUAL FUND TRUST INCOME
|
2,402
|
Units
|
66,604
|
||||||
AMERICAN
AMCAP CLASS A
|
955
|
Units
|
19,126
|
||||||
AMERICAN
BALANCED CL R5
|
19,806
|
Units
|
376,900
|
||||||
AMERICAN
BALANCED CLASS R3
|
308
|
Units
|
5,832
|
||||||
AMERICAN
BEACON BALANCED
|
4,439
|
Units
|
63,342
|
||||||
AMERICAN
BEACON ERMG MKTS PLANAHEAD CL
|
780
|
Units
|
13,023
|
||||||
AMERICAN
BEACON LARGE CAP VALUE PLAN
|
5,196
|
Units
|
118,363
|
||||||
AMERICAN
BOND FUND OF AMERICA CL R3
|
4,880
|
Units
|
65,002
|
||||||
AMERICAN
CAPITAL INCOME BUILDER CL A
|
1,846
|
Units
|
112,824
|
||||||
AMERICAN
CAPITAL INCOME BUILDER CL R3
|
234
|
Units
|
14,295
|
||||||
AMERICAN
CAPITAL INCOME BUILDER R5
|
476
|
Units
|
29,093
|
||||||
AMERICAN
CAPITAL WORLD GRTH & INC A
|
281
|
Units
|
11,762
|
||||||
AMERICAN
CAPITAL WORLD GRWTH & INC R5
|
908
|
Units
|
38,080
|
||||||
AMERICAN
CENTURY CAPITAL PRESERVATION
|
202,280
|
Units
|
204,523
|
||||||
AMERICAN
CENTURY CAPITAL VAL INV SHR
|
1,141
|
Units
|
9,529
|
||||||
AMERICAN
CENTURY EMERGING MARKETS INV
|
11,933
|
Units
|
107,278
|
||||||
AMERICAN
CENTURY EQUITY GROWTH
|
1,857
|
Units
|
47,611
|
||||||
AMERICAN
CENTURY EQUITY INCOME
|
24,133
|
Units
|
207,061
|
||||||
AMERICAN
CENTURY GLOBAL GOLD
|
3,906
|
Units
|
76,670
|
||||||
AMERICAN
CENTURY HERITAGE
|
2,311
|
Units
|
36,487
|
||||||
AMERICAN
CENTURY INTERNATIONAL BOND
|
3,737
|
Units
|
51,501
|
||||||
AMERICAN
CENTURY LARGE CO. VAL CL A
|
1,160
|
Units
|
8,805
|
||||||
AMERICAN
CENTURY MID CAP VALUE INV SHS
|
465
|
Units
|
5,979
|
||||||
AMERICAN
CENTURY ONE CHOICE VERY AGGR INV
|
209
|
Units
|
2,805
|
||||||
AMERICAN
CENTURY REAL ESTATE
|
1,582
|
Units
|
48,027
|
||||||
AMERICAN
CENTURY TAX FREE BOND
|
469
|
Units
|
5,064
|
||||||
AMERICAN
CENTURY UTILITIES
|
3,048
|
Units
|
49,676
|
||||||
AMERICAN
EUROPACIFIC GROWTH CL R5
|
460
|
Units
|
21,423
|
||||||
AMERICAN
EUROPACIFIC GROWTH CLASS A
|
380
|
Units
|
17,710
|
||||||
AMERICAN
FUNDAMENTAL INVESTORS R3
|
625
|
Units
|
24,998
|
||||||
AMERICAN
FUNDAMENTAL INVESTORS R5
|
2,841
|
Units
|
113,811
|
||||||
AMERICAN
GROWTH FUND OF AMERICA CL R3
|
180
|
Units
|
5,846
|
||||||
AMERICAN
GROWTH FUND OF AMERICA CL R5
|
5,335
|
Units
|
175,299
|
||||||
AMERICAN
GROWTH FUND OF AMERICA CLASS F
|
117
|
Units
|
3,811
|
||||||
AMERICAN
HIGH INCOME TRUST R3
|
2,717
|
Units
|
34,258
|
||||||
AMERICAN
INCOME FUND OF AMERICA CLASS A
|
4,918
|
Units
|
100,135
|
||||||
AMERICAN
INCOME FUND OF AMERICA R5
|
742
|
Units
|
15,107
|
||||||
AMERICAN
NEW PERSPECTIVE CLASS A
|
3,608
|
Units
|
114,511
|
||||||
AMERICAN
SMALLCAP WORLD CLASS C
|
318
|
Units
|
11,900
|
||||||
AMERICAN
WORLD GROWTH INCOME CL R3
|
795
|
Units
|
33,197
|
||||||
ARIEL
FUND
|
162
|
Units
|
8,402
|
||||||
ARTISAN OPPORTUNISTIC
VALUE
|
901
|
Units
|
10,054
|
||||||
ASTON/ABN
REAL ESTATE CL N
|
167
|
Units
|
2,726
|
||||||
ASTON/TAMRO LARGE CAP
VALUE CL N
|
1,200
|
Units
|
15,242
|
||||||
BANKS
ULTRA SECTOR PRO FUND INVESTOR
|
436
|
Units
|
19,895
|
||||||
BARON
ASSET
|
2,088
|
Units
|
124,883
|
||||||
BARON
PARTNERS FUND
|
6,697
|
Units
|
149,618
|
||||||
BIOTECHNOLOGY
ULTRA SECTOR PRO FD INVS
|
178
|
Units
|
9,576
|
||||||
BRANDYWINE
BLUE
|
5,474
|
Units
|
173,514
|
||||||
BRIDGEWAY
AGGRESSIVE INVESTOR 2
|
2,119
|
Units
|
35,866
|
||||||
BRIDGEWAY
BALANCED PORTFOLIO
|
729
|
Units
|
9,137
|
||||||
BRIDGEWAY
SMALL CAP GROWTH CL N
|
3,821
|
Units
|
54,532
|
||||||
BRIDGEWAY
ULTRA SMALL CO MARKET
|
2,940
|
Units
|
57,456
|
||||||
BUFFALO SCIENCE
& TECHNOLOGY FD
|
763
|
Units
|
10,017
|
||||||
BUFFALO
BALANCED FUND
|
525
|
Units
|
6,174
|
||||||
BUFFALO
HIGH YIELD
|
1,190
|
Units
|
13,267
|
||||||
BUFFALO
MID CAP FUND
|
7,556
|
Units
|
113,411
|
||||||
BUFFALO
USA GLOBAL
|
1,259
|
Units
|
28,033
|
||||||
CAMBIAR
OPPORTUNITY INVESTOR CL
|
4,544
|
Units
|
92,282
|
||||||
CAPITAL
WORLD BOND FUND R5
|
3,060
|
Units
|
58,837
|
||||||
COHEN
& STEERS REALTY SHARES
|
1,805
|
Units
|
161,432
|
||||||
COLUMBIA
SMALL CAP VALUE II CL A
|
807
|
Units
|
10,954
|
||||||
CRM
MID CAP VALUE INVESTOR SHARES
|
614
|
Units
|
18,057
|
||||||
DAVIS
NEW YORK VENTURE INSTL CL Y
|
4,207
|
Units
|
163,882
|
||||||
DELAWARE
DIVERSIFIED INCOME FD CL A
|
1,391
|
Units
|
12,184
|
||||||
DIAMOND
HILL FINANCIAL LONG/SHT A
|
489
|
Units
|
10,215
|
||||||
DIAMOND
HILL LARGE CAP CLASS A
|
1,561
|
Units
|
25,535
|
||||||
DIAMOND
HILL LONG SHORT CLASS A
|
1,631
|
Units
|
30,296
|
||||||
DIREXION
EMERGING MKTS BULL 2X INVST
|
473
|
Units
|
14,968
|
||||||
DODGE
& COX INTERNATL STOCK FUND
|
18,369
|
Units
|
827,722
|
||||||
DREYFUS S&P
500 STOCK INDEX FUND
|
96
|
Units
|
2,834
|
||||||
DREYFUS
APPRECIATION FUND
|
482
|
Units
|
21,115
|
||||||
DREYFUS
FOUNDERS MID CAP GROWTH FD CL R
|
850
|
Units
|
5,000
|
||||||
DREYFUS
LIFETIME GROWTH INVESTOR SHS
|
173
|
Units
|
3,068
|
||||||
DREYFUS
PREMIER GREATER CHINA CL R
|
1,293
|
Units
|
46,412
|
||||||
DREYFUS
PREMIER S&P STARS OPPR CL T
|
138
|
Units
|
3,070
|
||||||
DWS
GOLD & PRECIOUS METALS CL S
|
8,587
|
Units
|
177,412
|
||||||
EVERGREEN
EMERG MKTS GROWTH FUND CLASS C
|
687
|
Units
|
13,263
|
||||||
EXCELSIOR
EMERGING MARKETS
|
1,067
|
Units
|
15,110
|
||||||
EXCELSIOR
ENERGY & NATURAL RESOURCES
|
93
|
Units
|
2,023
|
||||||
EXCELSIOR
INTERNATL
|
4,145
|
Units
|
75,850
|
||||||
EXCELSIOR
LARGE CAP GROWTH
|
3,020
|
Units
|
31,047
|
||||||
EXCELSIOR
MID CAP VALUE & RESTRUCTING
|
817
|
Units
|
17,600
|
||||||
EXCELSIOR
SMALL CAP
|
710
|
Units
|
12,812
|
||||||
EXCELSIOR
VALUE AND RESTRUCTURING
|
3,332
|
Units
|
175,081
|
||||||
FAIRHOLME
FUND
|
18,134
|
Units
|
551,422
|
||||||
FALLING
US DOLLAR PRO FUND INV CLASS
|
513
|
Units
|
14,865
|
||||||
FBR
LARGE CAP FINANCIAL CLASS
|
66
|
Units
|
1,348
|
||||||
FEDERATED
HIGH YIELD INSTL FUND
|
5,729
|
Units
|
34,833
|
||||||
FIDELITY
ADV HIGH INC ADVANTAGE CL B
|
480
|
Units
|
5,026
|
||||||
FIDELITY
ADVISOR DIVERSIFIED INT'L I
|
338
|
Units
|
7,816
|
||||||
FIDELITY
ADVISOR HIGH INCOME ADV CL I
|
279
|
Units
|
2,829
|
||||||
FIDELITY
ADVISOR LEVERGED CO STK CL I
|
501
|
Units
|
16,608
|
||||||
FIDELITY
ADVISOR UTILITIES CLASS A
|
128
|
Units
|
2,467
|
||||||
FIDELITY
BALANCED
|
1,005
|
Units
|
19,534
|
||||||
FIDELITY
BLUE CHIP VALUE
|
1,363
|
Units
|
20,173
|
||||||
FIDELITY
CANADA
|
1,859
|
Units
|
89,665
|
||||||
FIDELITY
CAPITAL & INCOME
|
7,989
|
Units
|
71,018
|
||||||
FIDELITY
CAPITAL APPRECIATION
|
229
|
Units
|
6,205
|
||||||
FIDELITY
EMERGING MARKETS
|
445
|
Units
|
10,845
|
||||||
FIDELITY
EUROPE
|
757
|
Units
|
29,785
|
||||||
FIDELITY
EUROPE CAPITAL APPRECIATION
|
1,025
|
Units
|
27,960
|
||||||
FIDELITY
FLOATING RATE HIGH INCOME
|
8,279
|
Units
|
82,373
|
||||||
FIDELITY
FREEDOM 2020
|
2,642
|
Units
|
41,024
|
||||||
FIDELITY
INTERNAT'L REAL ESTATE FUND
|
775
|
Units
|
12,837
|
||||||
FIDELITY
INT'L DISCOVERY
|
548
|
Units
|
20,781
|
||||||
FIDELITY
INTL SMALL CAP OPP FUND
|
332
|
Units
|
5,242
|
||||||
FIDELITY
JAPAN
|
2,995
|
Units
|
51,126
|
||||||
FIDELITY
LARGE CAP VALUE
|
7,397
|
Units
|
110,666
|
||||||
FIDELITY
LATIN AMERICA
|
955
|
Units
|
42,714
|
||||||
FIDELITY
LEVERAGED COMPANY STOCK
|
5,764
|
Units
|
166,997
|
||||||
FIDELITY
NORDIC
|
260
|
Units
|
10,398
|
||||||
FIDELITY
OTC PORT
|
2,240
|
Units
|
92,627
|
||||||
FIDELITY
OVERSEAS
|
439
|
Units
|
19,655
|
||||||
FIDELITY
PURITAN
|
3,768
|
Units
|
75,251
|
||||||
FIDELITY
REAL ESTATE INVESTMENT
|
1,349
|
Units
|
49,081
|
||||||
FIDELITY
SELECT BROKERAGE & INVS MGT
|
226
|
Units
|
16,716
|
||||||
FIDELITY
SELECT CHEMICALS
|
71
|
Units
|
4,740
|
||||||
FIDELITY
SELECT CNSMER DSCRTNRY PORT
|
360
|
Units
|
9,443
|
||||||
FIDELITY
SELECT CONSTRUCTN & HOUSING
|
221
|
Units
|
9,861
|
||||||
FIDELITY
SELECT DEFENSE & AEROSPACE
|
478
|
Units
|
38,983
|
||||||
FIDELITY
SELECT ENERGY
|
705
|
Units
|
34,376
|
||||||
FIDELITY
SELECT ENERGY SERVICE
|
141
|
Units
|
9,519
|
||||||
FIDELITY
SELECT ENVIRONMENTAL SVCS
|
574
|
Units
|
9,920
|
||||||
FIDELITY
SELECT GOLD
|
1,341
|
Units
|
48,963
|
||||||
FIDELITY
SELECT INDUSTRIAL EQUIPMENT
|
356
|
Units
|
11,015
|
||||||
FIDELITY
SELECT INDUSTRIALS PORT
|
504
|
Units
|
10,316
|
||||||
FIDELITY
SELECT LEISURE
|
512
|
Units
|
40,506
|
||||||
FIDELITY
SELECT MATERIALS PORTFOLIO
|
212
|
Units
|
10,044
|
||||||
FIDELITY
SELECT MEDICAL DELIVERY
|
215
|
Units
|
10,497
|
||||||
FIDELITY
SELECT MEDICAL EQUIP&SYSTEM
|
450
|
Units
|
10,364
|
||||||
FIDELITY
SELECT NATURAL GAS
|
264
|
Units
|
9,944
|
||||||
FIDELITY
SELECT NATURAL RESOURCES
|
668
|
Units
|
18,620
|
||||||
FIDELITY
SELECT SOFTWARE & COMPUTER
|
2,263
|
Units
|
148,368
|
||||||
FIDELITY
SELECT TRANSPORT
|
202
|
Units
|
10,140
|
||||||
FIDELITY
STRATEGIC DIVIDEND & INCOME
|
365
|
Units
|
4,748
|
||||||
FIDELITY
STRATEGIC INCOME
|
8,465
|
Units
|
90,069
|
||||||
FIDELITY
VALUE
|
181
|
Units
|
14,571
|
||||||
FIFTH
THIRD BALANCED CLASS B
|
197
|
Units
|
2,524
|
||||||
FORWARD
HOOVER SMALL CAP EQUITY
|
2,152
|
Units
|
44,052
|
||||||
FORWARD
INTERNATIONL EQUITY FUND
|
195
|
Units
|
3,554
|
||||||
FORWARD
INTERNTL SMALL CO INVESTOR CL
|
1,040
|
Units
|
19,711
|
||||||
FPA
NEW INCOME
|
1,683
|
Units
|
18,256
|
||||||
FRANKLIN
GOLD AND PRECIOUS METALS CL C
|
105
|
Units
|
3,291
|
||||||
FRANKLIN
INCOME CLASS C
|
8,584
|
Units
|
23,005
|
||||||
FRANKLIN
STRATEGIC INCOME C
|
3,285
|
Units
|
33,966
|
||||||
GABELLI
ASSET FUND
|
54
|
Units
|
2,565
|
||||||
GABELLI
EQUITY INCOME FUND
|
1,213
|
Units
|
25,556
|
||||||
GAMCO
GLOBAL TELECOMMUNICATIONS
|
234
|
Units
|
5,260
|
||||||
GAMCO
GOLD FUND
|
1,449
|
Units
|
36,186
|
||||||
GLOBAL
EMERGING MARKETS
|
748
|
Units
|
11,015
|
||||||
GOLDMAN
SACHS ASSET ALLOC GRWTH STRAT A
|
9,470
|
Units
|
137,974
|
||||||
GREENSPRING
FUND
|
173
|
Units
|
4,059
|
||||||
GUINNESS
ATKINSON GLOBAL ENERGY
|
206
|
Units
|
5,257
|
||||||
GUINNESS
ATKINSON GLOBAL INNOVATORS
|
169
|
Units
|
3,039
|
||||||
HARBOR
BOND INST.
|
20,554
|
Units
|
237,606
|
||||||
HARBOR
CAPITAL APPRECIATION INV CL
|
2,488
|
Units
|
82,220
|
||||||
HARBOR
INTERNATIONAL
|
1,525
|
Units
|
94,604
|
||||||
HARBOR
INTERNATIONAL INVESTOR SHARES
|
2,258
|
Units
|
139,047
|
||||||
HARDING
LOEVNER EMERGING MKT PORT
|
594
|
Units
|
26,580
|
||||||
HARTFORD
CAPITAL APPRECIATION CL A
|
1,811
|
Units
|
68,874
|
||||||
HARTFORD
CAPITAL APPRECIATION CL C
|
532
|
Units
|
18,477
|
||||||
HARTFORD
GLOBAL HEALTH CL C
|
835
|
Units
|
13,810
|
||||||
HARTFORD
HIGH YIELD CL A
|
300
|
Units
|
2,413
|
||||||
HEARTLAND
SELECT VALUE
|
2,449
|
Units
|
68,430
|
||||||
HEARTLAND
VALUE
|
1,563
|
Units
|
80,039
|
||||||
HENNESSY
BALANCED
|
427
|
Units
|
5,085
|
||||||
HENNESSY
CORNERSTONE GROWTH
|
448
|
Units
|
8,167
|
||||||
ICON
ENERGY
|
873
|
Units
|
27,679
|
||||||
ICON
EUROPE FUND
|
198
|
Units
|
4,176
|
||||||
ICON
FINANCIAL FUND
|
395
|
Units
|
5,867
|
||||||
ICON
HEALTHCARE
|
1,001
|
Units
|
16,599
|
||||||
ICON
LONG SHORT CLASS I
|
2,210
|
Units
|
38,745
|
||||||
ICON
MATERIALS
|
1,421
|
Units
|
16,361
|
||||||
ING
RUSSIA CL A
|
180
|
Units
|
11,242
|
||||||
IVY
INTERNATIONAL GROWTH FUND CL Y
|
164
|
Units
|
5,462
|
||||||
JAMES
ADVANTAGE SMALL CAP
|
2,732
|
Units
|
64,582
|
||||||
JAMES
BALANCED: GOLDEN RAINBOW FUND
|
1,876
|
Units
|
33,119
|
||||||
JANUS
ADVISER INTERNATL GROWTH S
|
466
|
Units
|
25,318
|
||||||
JANUS
CONTRARIAN FUND
|
2,511
|
Units
|
42,256
|
||||||
JANUS
CORE FUNDAMENTAL EQUITY
|
418
|
Units
|
10,835
|
||||||
JANUS
MID CAP VALUE INVST SHS
|
471
|
Units
|
11,209
|
||||||
JANUS
ORION FUND
|
509
|
Units
|
5,022
|
||||||
JANUS
OVERSEAS
|
9,242
|
Units
|
453,639
|
||||||
JENNISON
NATURAL RESOURCES FD CL Z
|
759
|
Units
|
34,603
|
||||||
JENNISON
UTILITY CL C
|
1,776
|
Units
|
25,065
|
||||||
JENSEN
PORTFOLIO CLASS J
|
2,946
|
Units
|
79,342
|
||||||
JOHN
HANCOCK YIELD FUND CL B
|
1,287
|
Units
|
7,256
|
||||||
JPMORGAN
ASIA EQUITY CLASS A
|
310
|
Units
|
9,130
|
||||||
JPMORGAN
CAPITAL GROWTH CL A
|
230
|
Units
|
9,198
|
||||||
JPMORGAN
DIVERSIF MID CAP GROWTH CL A
|
247
|
Units
|
5,512
|
||||||
JPMORGAN
EMERGING MARKETS DEBT SELECT
|
987
|
Units
|
8,605
|
||||||
JPMORGAN
EMERGING MARKETS EQUITY CL A
|
3,044
|
Units
|
55,911
|
||||||
JPMORGAN
INTERNATL EQUITY INDEX CL A
|
463
|
Units
|
12,853
|
||||||
JPMORGAN
INTERNATL VALUE FUND CLASS A
|
5,770
|
Units
|
101,726
|
||||||
JPMORGAN
INTERNTL EQUITY FUND CLASS A
|
309
|
Units
|
11,584
|
||||||
JPMORGAN
INTREPID EUROPEAN CLASS A
|
1,611
|
Units
|
45,721
|
||||||
JPMORGAN
INTREPID MID CAP FUND CLASS A
|
4,038
|
Units
|
68,082
|
||||||
JPMORGAN
INVESTOR GROWTH & INCOME CL A
|
87
|
Units
|
1,253
|
||||||
JPMORGAN
MULTI MNGR SMALL CAP VALUE FD
|
223
|
Units
|
3,837
|
||||||
JPMORGAN
PRIME MMKT FUND MORGAN CLASS
|
9,241
|
Units
|
9,241
|
||||||
JPMORGAN
REALTY INCOME FUND CLASS A
|
1,116
|
Units
|
18,677
|
||||||
JPMORGAN
SMALL CAP VALUE CLASS A
|
302
|
Units
|
6,971
|
||||||
JPMORGAN
US REAL ESTATE CLASS A
|
1,958
|
Units
|
44,298
|
||||||
JPMORGAN
VALUE ADVANTAGE CL A
|
220
|
Units
|
4,167
|
||||||
JPMORGAN
VALUE OPPORTUNITIES CL A
|
57
|
Units
|
1,134
|
||||||
JULIUS
BAER GLOBAL EQUITY CLASS A
|
124
|
Units
|
5,004
|
||||||
JULIUS
BAER INTL EQUITY FUND II CL A
|
3,430
|
Units
|
51,753
|
||||||
KEELEY
SMALL CAP VALUE FD INC
|
208
|
Units
|
5,429
|
||||||
KINETICS
PARADIGM FUND
|
132
|
Units
|
3,392
|
||||||
LAZARD
EMERGING MKTS OPEN CLASS
|
5,532
|
Units
|
115,186
|
||||||
LOOMIS
SAYLES BOND RETAIL SHARES
|
46,091
|
Units
|
682,511
|
||||||
LOOMIS
SAYLES GLOBAL BOND RETAIL
|
1,691
|
Units
|
25,834
|
||||||
MAINSTAY
ICAP INTERNATIONAL FD I
|
194
|
Units
|
7,596
|
||||||
MAINSTAY
ICAP SELECT EQUITY FD CL I
|
14,096
|
Units
|
612,386
|
||||||
MANAGERS
BOND
|
5,417
|
Units
|
134,607
|
||||||
MANAGERS
SMALL CAP FUND
|
342
|
Units
|
5,400
|
||||||
MARSHALL
MID CAP VALUE CL Y
|
2,787
|
Units
|
42,311
|
||||||
MARSICO
21ST CENTURY FUND
|
11,908
|
Units
|
181,354
|
||||||
MARSICO
FOCUS
|
5,643
|
Units
|
108,854
|
||||||
MARSICO
GROWTH FUND
|
9,081
|
Units
|
182,434
|
||||||
MARSICO
INTERNAT'L OPPORTUNITIES
|
1,841
|
Units
|
31,136
|
||||||
MATRIX
ADVISORS VALUE
|
134
|
Units
|
7,712
|
||||||
MATTHEWS
ASIA PACIFIC FUND
|
661
|
Units
|
11,183
|
||||||
MATTHEWS
ASIAN TECHNOLOGY FUND
|
3,431
|
Units
|
27,176
|
||||||
MATTHEWS
CHINA FUND
|
2
|
Units
|
60
|
||||||
MATTHEWS
INDIA FUND
|
2,877
|
Units
|
44,453
|
||||||
MATTHEWS
KOREA FUND
|
2,345
|
Units
|
14,611
|
||||||
MERGER
FUND
|
1,468
|
Units
|
22,938
|
||||||
METZLER
PAYDEN EURO EMERGING MKTS CL
|
2,891
|
Units
|
93,728
|
||||||
MIDAS
FUND
|
1,209
|
Units
|
5,188
|
||||||
MOBILE
TELCOMM ULTRA SECTOR PRO FD INVSTR
|
299
|
Units
|
5,787
|
||||||
MUHLENKAMP
FUND
|
2,338
|
Units
|
203,770
|
||||||
MUTUAL
SERIES DISCOVERY CLASS Z
|
3,703
|
Units
|
112,789
|
||||||
MUTUAL
SERIES EUROPEAN CLASS Z
|
1,125
|
Units
|
27,667
|
||||||
MUTUAL
SERIES FINCL SERVICES CLASS Z
|
1,214
|
Units
|
27,413
|
||||||
MUTUAL
SERIES MUTUAL BEACON CLASS C
|
1,102
|
Units
|
18,144
|
||||||
MUTUAL
SERIES SHARES CLASS Z
|
4,149
|
Units
|
108,250
|
||||||
NEEDHAM
GROWTH FUND
|
383
|
Units
|
14,959
|
||||||
NEUBERGER
BERMAN INT'L INVESTOR CLASS
|
763
|
Units
|
18,690
|
||||||
NEUBERGER
BERMAN INT'L TRUST CLASS
|
5,195
|
Units
|
139,643
|
||||||
NEUBERGER
BERMAN PARTNERS INVESTOR
|
4,050
|
Units
|
125,768
|
||||||
NEUBERGER
BERMAN REAL ESTATE TRUST CL
|
699
|
Units
|
11,222
|
||||||
NORTHEAST
INVESTORS TRUST
|
1,304
|
Units
|
10,122
|
||||||
NORTHERN
SMALL CAP VALUE
|
533
|
Units
|
8,840
|
||||||
NUMERIC
INVESTORS MID CAP
|
656
|
Units
|
12,054
|
||||||
OAKMARK
FUND I
|
231
|
Units
|
10,618
|
||||||
OAKMARK
GLOBAL SELECT FD CL I
|
535
|
Units
|
5,763
|
||||||
OAKMARK
SELECT I
|
3,857
|
Units
|
129,130
|
||||||
OBERWEIS
CHINA OPPORTUNITIES FUND
|
14,879
|
Units
|
290,591
|
||||||
OIL
& GAS ULTRA SECT PRO FDS -INVESTOR
|
985
|
Units
|
40,981
|
||||||
OPPENHEIMER
INT'L BOND CLASS A
|
1,024
|
Units
|
6,167
|
||||||
OPPENHEIMER
MAIN ST SMALL CAP CLASS A
|
372
|
Units
|
8,217
|
||||||
PARNASSUS
EQUITY INCOME PORTFOLIO
|
106
|
Units
|
2,642
|
||||||
PARNASSUS
FIXED INCOME FUND
|
1,435
|
Units
|
23,114
|
||||||
PERMANENT
PORTFOLIO FD INC
|
2,150
|
Units
|
69,583
|
||||||
PERRITT
EMERGING OPPORTUNITIES FUND
|
268
|
Units
|
3,761
|
||||||
PHOENIX
FOREIGN OPPORTUNITIES CL A
|
830
|
Units
|
20,747
|
||||||
PHOENIX
MID CAP VALUE FUND CL A
|
313
|
Units
|
7,899
|
||||||
PIMCO
COMMODITY REAL RETURN CL D
|
664
|
Units
|
9,217
|
||||||
PIMCO
DEVELOPING LOCAL MKTS D
|
5,079
|
Units
|
54,495
|
||||||
PIMCO
FLOATING RATE INCOME CL D
|
2,701
|
Units
|
28,550
|
||||||
PIMCO
REAL RETURN CLASS D
|
4,448
|
Units
|
47,371
|
||||||
PIMCO
TOTAL RETURN CLASS D
|
3,574
|
Units
|
37,097
|
||||||
PRO
FUNDS SHORT REAL ESTATE INVESTOR CL
|
2,089
|
Units
|
47,087
|
||||||
PRUDENT
GLOBAL INC FUNDS
|
1,787
|
Units
|
22,355
|
||||||
PUTNAM
GLOBAL NATURAL RESOURCE C
|
608
|
Units
|
17,197
|
||||||
QUANT
FOREIGN VALUE FUND ORDINARY SHS
|
815
|
Units
|
17,841
|
||||||
QUANTITATIVE
EMRG MKTS FD-ORDINARY SHS
|
884
|
Units
|
19,589
|
||||||
ROYCE
MICROCAP INVESTMENT CLASS
|
1,892
|
Units
|
32,820
|
||||||
ROYCE
OPPORTUNITY FUND INVEST CLASS
|
8,291
|
Units
|
108,121
|
||||||
ROYCE
PENNSYLVANIA MUTUAL INVST CLASS
|
13,322
|
Units
|
154,139
|
||||||
ROYCE
TOTAL RETURN FD INVESTMENT CL
|
6,302
|
Units
|
86,648
|
||||||
ROYCE
VALUE FUND SERVICE CL
|
4,478
|
Units
|
49,522
|
||||||
ROYCE
VALUE PLUS SERVICE CLASS
|
29,323
|
Units
|
413,165
|
||||||
RS
GLOBAL NATURAL RESOURCES CL A
|
1,347
|
Units
|
41,552
|
||||||
RS
VALUE FUND CL A
|
2,191
|
Units
|
60,110
|
||||||
RYDEX
BASIC MATERIALS ADVISOR CL
|
309
|
Units
|
11,353
|
||||||
RYDEX
BASIC MATERIALS INV CLASS
|
1,547
|
Units
|
58,989
|
||||||
RYDEX
BIOTECHNOLOGY INV CLASS
|
113
|
Units
|
2,473
|
||||||
RYDEX
INVERSE S&P 500 INVESTOR SHS
|
604
|
Units
|
4,516
|
||||||
RYDEX
OTC INVESTOR CLASS
|
4,274
|
Units
|
49,957
|
||||||
RYDEX
RETAILING INV CLASS
|
223
|
Units
|
3,109
|
||||||
RYDEX
TECHNOLOGY INVESTOR CLASS
|
230
|
Units
|
2,831
|
||||||
RYDEX
TITAN 500 CLASS H
|
340
|
Units
|
16,136
|
||||||
RYDEX
VELOCITY 100 CLASS H
|
524
|
Units
|
12,085
|
||||||
SCHNEIDER
VALUE FUND
|
4,726
|
Units
|
107,649
|
||||||
SELECTED
AMERICAN SHARES CL S
|
3,618
|
Units
|
166,631
|
||||||
SKYLINE
SPECIAL EQUITIES
|
1,147
|
Units
|
29,805
|
||||||
SOUND
MIND INVESTING FUND
|
17,688
|
Units
|
200,402
|
||||||
SOUND
SHORE FD INC
|
729
|
Units
|
28,554
|
||||||
SPARTAN
INTL INDEX INVESTOR CLASS
|
259
|
Units
|
11,449
|
||||||
SSGA
EMERGING MARKETS
|
742
|
Units
|
17,396
|
||||||
SSGA
INTERNATIONAL STOCK SELECTION
|
8,201
|
Units
|
113,259
|
||||||
SSGA
TUCKERMAN ACTIVE REIT
|
1,073
|
Units
|
22,912
|
||||||
STERLING
SMALL CAP VALUE FUND
|
1,579
|
Units
|
23,705
|
||||||
STRATEGIC
PARTNERS REAL ESTATE CL A
|
295
|
Units
|
8,586
|
||||||
STRATTON
SMALL CAP VALUE FUND
|
1,664
|
Units
|
80,579
|
||||||
T
ROWE PRICE CAP APPRECIATION
|
9,206
|
Units
|
189,831
|
||||||
T
ROWE PRICE EMERGING MKTS STOCK
|
4,646
|
Units
|
150,577
|
||||||
T
ROWE PRICE EQUITY INCOME
|
2,111
|
Units
|
62,367
|
||||||
T
ROWE PRICE EQUITY INCOME ADVISOR CL
|
170
|
Units
|
5,002
|
||||||
T
ROWE PRICE EQUITY INDEX TR FD
|
142
|
Units
|
5,404
|
||||||
T
ROWE PRICE GROWTH STOCK
|
4,318
|
Units
|
136,568
|
||||||
T
ROWE PRICE HEALTH SCIENCES
|
289
|
Units
|
7,541
|
||||||
T
ROWE PRICE INTL DISCOVERY FUND
|
443
|
Units
|
21,023
|
||||||
T
ROWE PRICE LATIN AMERICA FUND
|
2,278
|
Units
|
85,971
|
||||||
T
ROWE PRICE MEDIA & TELECOMMUNICATIONS
|
233
|
Units
|
10,077
|
||||||
T
ROWE PRICE NEW HORIZONS FD INC
|
16,731
|
Units
|
565,975
|
||||||
T
ROWE PRICE PERSONAL STRAT GRWTH
|
203
|
Units
|
5,147
|
||||||
T
ROWE PRICE REAL ESTATE FUND
|
3,498
|
Units
|
88,607
|
||||||
T
ROWE PRICE RET 2040 FD
|
233
|
Units
|
4,365
|
||||||
T
ROWE PRICE SPECTRUM INCOME
|
1,511
|
Units
|
18,421
|
||||||
TAMARACK
MICROCAP VALUE CL S
|
2,395
|
Units
|
54,531
|
||||||
TELECOMM
ULTRA SECTOR PRO FD INVSTR
|
1,376
|
Units
|
37,043
|
||||||
THIRD
AVENUE REAL ESTATE VALUE
|
518
|
Units
|
17,932
|
||||||
THIRD
AVENUE VALUE
|
4,620
|
Units
|
274,721
|
||||||
THORNBURG
INTL VALUE CL A
|
1,544
|
Units
|
43,970
|
||||||
THORNBURG
INTL VALUE CL INSTL
|
2,247
|
Units
|
65,178
|
||||||
TIAA-CREF
INSTL LRG CAP VALUE -RETAIL
|
184
|
Units
|
2,873
|
||||||
TIAA-CREF
INSTL MID CAP VALUE -RETAIL
|
3,132
|
Units
|
56,625
|
||||||
TIAA-CREF
INSTL REAL ESTATE SEC - RETAIL
|
3,077
|
Units
|
48,592
|
||||||
TOCQUEVILLE
FUND
|
1,439
|
Units
|
36,498
|
||||||
TOCQUEVILLE
GOLD FUND
|
818
|
Units
|
42,064
|
||||||
TOUCHSTONE
MID CAP GROWTH CLASS A
|
99
|
Units
|
2,314
|
||||||
TRANSAMERICA
PREMIER EQUITY
|
6,212
|
Units
|
139,885
|
||||||
T-ROWE
PRICE EMERG EURO & MEDITERRANEAN
|
6,421
|
Units
|
208,298
|
||||||
ULTRA
JAPAN PRO FUND INVESTORS SHS
|
907
|
Units
|
44,268
|
||||||
ULTRA
MID CAP PRO FUND INVESTOR SHS
|
850
|
Units
|
41,012
|
||||||
ULTRA
SHORT SMALL CAP PRO FDS-INVST CL
|
3,351
|
Units
|
44,830
|
||||||
ULTRA
SMALL CAP PRO FUND INVESTOR SHS
|
378
|
Units
|
12,066
|
||||||
ULTRASHORT
OTC PRO FUND INVESTOR SHS
|
4,079
|
Units
|
55,061
|
||||||
UMB
SCOUT SMALL CAP
|
2,465
|
Units
|
41,485
|
||||||
UMB
SCOUT WORLDWIDE
|
4,665
|
Units
|
152,366
|
||||||
US
GLOBAL CHINA REGION OPPORTUNITY
|
2,817
|
Units
|
29,549
|
||||||
US
GLOBAL REGION EAST EUROPEAN
|
2,686
|
Units
|
122,172
|
||||||
US
GLOBAL RESOURCES
|
17,684
|
Units
|
262,431
|
||||||
US
GOLD SHARES
|
8,816
|
Units
|
141,671
|
||||||
US
WORLD PRECIOUS MINERALS
|
15,336
|
Units
|
443,777
|
||||||
VALUE
LINE EMERGING OPPORTUNITY
|
1,045
|
Units
|
32,311
|
||||||
VAN
ECK GLOBAL HARD ASSETS CLASS C
|
179
|
Units
|
6,489
|
||||||
VAN
KAMPEN COMSTOCK CLASS C
|
1,497
|
Units
|
28,827
|
||||||
VAN
KAMPEN REAL ESTATE SEC CLASS C
|
607
|
Units
|
18,991
|
||||||
VAN
WAGONER EMERGING GROWTH FUND
|
2,111
|
Units
|
9,711
|
||||||
VAN
WAGONER SMALL CAP GROWTH
|
1,072
|
Units
|
10,332
|
||||||
VANGUARD
DEVELOPED MRKTS INDEX INV
|
1,886
|
Units
|
23,726
|
||||||
VANGUARD
EMERGING MARKETS STOCK INDEX
|
1,174
|
Units
|
28,498
|
||||||
VANGUARD
ENERGY
|
5,546
|
Units
|
358,418
|
||||||
VANGUARD
EQUITY INCOME
|
209
|
Units
|
5,284
|
||||||
VANGUARD
EUROPEAN STOCK INDEX
|
327
|
Units
|
11,800
|
||||||
VANGUARD
GLOBAL EQUITY
|
1,237
|
Units
|
28,348
|
||||||
VANGUARD
GROWTH INDEX
|
110
|
Units
|
3,277
|
||||||
VANGUARD
INDEX TRUST S&P 500 PORT
|
3,722
|
Units
|
511,786
|
||||||
VANGUARD
INDEX TRUST SMALL CAP GROWTH
|
624
|
Units
|
11,446
|
||||||
VANGUARD
INFLATION PROTECTED SECS
|
14,755
|
Units
|
173,820
|
||||||
VANGUARD
INTERNATL VALUE PORTFOLIO
|
1,093
|
Units
|
44,089
|
||||||
VANGUARD
INT'L GROWTH PORTFOLIO
|
713
|
Units
|
17,010
|
||||||
VANGUARD
LONG TERM INVMT GRADE INV
|
459
|
Units
|
4,242
|
||||||
VANGUARD
MID CAP INDEX
|
2,389
|
Units
|
47,260
|
||||||
VANGUARD
MID-CAP GROWTH FUND
|
628
|
Units
|
10,722
|
||||||
VANGUARD
PACIFIC STOCK INDEX
|
848
|
Units
|
10,541
|
||||||
VANGUARD
PRIMECAP CORE FD INVESTOR CL
|
819
|
Units
|
10,326
|
||||||
VANGUARD
REIT INDEX FUND
|
4,506
|
Units
|
115,275
|
||||||
VANGUARD
SMALL CAP STOCK INDEX TRUST
|
153
|
Units
|
5,003
|
||||||
VANGUARD
SMALL CAP VALUE INDEX
|
684
|
Units
|
11,657
|
||||||
VANGUARD
STRATEGIC SMALL CAP EQ INVT
|
2,865
|
Units
|
58,966
|
||||||
VANGUARD
TARGET RET 2015 FD INVESTOR CL
|
2,248
|
Units
|
28,007
|
||||||
VANGUARD
TAX MANAGED SMALL CAP INVESTOR
|
809
|
Units
|
20,799
|
||||||
VANGUARD
TOTAL INTL STOCK INDEX FUND
|
2,055
|
Units
|
36,316
|
||||||
VANGUARD
TOTAL STOCK MARKET
|
4,876
|
Units
|
166,210
|
||||||
VANGUARD
VALUE INDEX
|
1,559
|
Units
|
41,428
|
||||||
VANGUARD
WINDSOR II
|
1,140
|
Units
|
39,616
|
||||||
VANGUARD/WELLESLEY
INCOME
|
459
|
Units
|
10,016
|
||||||
WASATCH
GLOBAL SCIENCE & TECHNOLOGY
|
1,484
|
Units
|
21,942
|
||||||
WELLS
FARGO ASIA PACIFIC FD-INVESTOR
|
2,443
|
Units
|
30,509
|
||||||
WELLS
FARGO MID CAP DISCIPLINED FD-INVES
|
1,718
|
Units
|
39,039
|
||||||
WESTPORT
SELECT CAP CLASS I
|
1,290
|
Units
|
32,206
|
||||||
WILLIAM
BLAIR VALUE DISCOVERY CLASS N
|
1,859
|
Units
|
30,247
|
||||||
WM
HIGH YIELD FUND CLASS C
|
536
|
Units
|
4,702
|
||||||
YACKTMAN
FOCUSED FD
|
1,883
|
Units
|
30,122
|
||||||
Total
Registered Investment Companies
|
$ |
22,560,852
|
|||||||
PARTICIPANT
LOANS (interest rate ranging from 5.00% through 9.25% maturing
through December 2021)
|
$ |
55,239,294
|
|||||||
TOTAL
INVESTMENTS
|
$ |
2,950,563,178
|
Exhibit
Number
|
Description
|
||
23
|
Consent
of Independent Registered Public Accounting Firm
|
||
EXHIBIT
23
|
AMERICAN
ELECTRIC POWER SYSTEM
|
RETIREMENT
SAVINGS PLAN
|